Purpose of the position:
Responsible for the creation of realistic cash demand forecasts and replenishment plans to enable optimal cash activities for delivery against specified service requirements, costs, and risk levels. The job is ultimately accountable for optimal planning of overall Cash inventory, movement, and handling costs at acceptable service & residual risk levels.
Key duties and responsibilities -but not limited:
Cash Supply Chain Monitoring and Analysis
Management Reporting
Cost Management and Control
Qualifications and Experience:
Knowledge, Skills & Abilities Required:
Behaviours required:
Conditions of employment: