Strategy
- Lead smart collection and channel transformation projects (smart kiosks, automation, Smart Treasury) to reduce cash-handling risk and increase service efficiency.
- Contribute to financial planning, policy development, and treasury-related procedures to strengthen financial governance.
- Conduct benchmarking and best-practice reviews to enhance collection methods and optimize cash risk management.
Operations
- Supervise cash flow implementation for projects and expenses in coordination with the Department of Finance.
- Manage smart kiosk operations, ensuring collection accuracy, proper registration, reconciliation, and timely reporting.
- Oversee linking of unified revenue systems with smart kiosks, ensuring validity of registration, bank reconciliation, and process speed.
- Implement automation systems with banks, coordinate procedures, and monitor results through regular reports and stakeholder meetings.
- Execute Smart Treasury initiatives, including daily closures, extended treasury services (24/7)
Product/Process Improvement
- Integrate financial systems with applicable projects, inventory requirements, and coordinate with concerned departments.
- Prepare and submit monthly reconciliation and discrepancy reports, highlighting financial impacts and raising observations.
- Analyse changes in services and assess their suitability for inclusion in cash cessation projects.
- Review agreements related to financial installment procedures, ensuring compliance and risk minimization
- Bachelor's degree/ Master’s degree in Finance
- Experience 6+ Years in case of Master’s degree (8+ years in case of Bachelor’s degree)
- Expertise in accounting and reconciliation processes
- Skilled in managing accounts and financial transactions
- Knowledge of anti‑fraud practices, policies, and regulatory compliance
- Experience in audit functions and implementing internal controls
- Strong data management and accuracy in financial documentation
- Understanding of digital payment ecosystems and technologies
- Proficiency in enterprise financial systems management
- Ability to coordinate financial activities and align stakeholders
- Competence in managing financial guarantees and security instruments
- Skilled in developing and maintaining financial policies and procedures
- Experience in financial reporting, analysis, and performance tracking
- Knowledge of governance, risk management, and excellence programs
- Expertise in receivables management and payment risk governance
- Understanding of smart revenue systems and financial digitization initiatives