Responsibilities:
Perform piece counting of cash
Assist in bulk checking for incoming shipment
Assist in the packing for outgoing shipment
Prepare stock list with details breakdown for front office’s sale / repatriation
Prepare stock list for end day reconciliation
Ensure physical stock is correct and balanced with manual stock list
Check and confirm manual stock list is balanced against the system day end stock report
Housekeep the daily stock list records for future audit or any required checking by management
Raise discrepancy report if any
Submission of counterfeits to CAD (Commercial Affairs Department)
Machine maintenance and service record keeping
Opening and closing of vault
Arming of the cash processing and vault premises
Assist in indenting inventory
Any ad hoc task as assigned by supervisor
Requirements:
**We regret that only shortlisted candidate will be contacted.
CIMB BANK BERHAD
CIMB Group is a leading ASEAN universal bank, one of the largest Asian Investment banks and one of the world's largest Islamic banks. We are headquartered in Kuala Lumpur, Malaysia and offer consumer banking, commercial banking, wholesale banking, Islamic banking and asset management products and se...
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