-Accurately exchange foreign currency to the local currency and vice versa.-Calculate exchange rates based on the current market rates and provide customers with the correct amount.-Verify the authenticity of banknotes and detect counterfeit currency.-Maintain an organized and secure cash drawer.-Process incoming and outgoing remittance transactions, ensuring compliance with legal and company policies.-Verify customer identification and necessary documentation for remittance transactions.-Greet and assist customers in a professional and friendly manner.-Address customer inquiries and resolve any issues or concerns.-Promote additional services or products to customers when appropriate.-Ensure strict adherence to company and regulatory compliance standards.-Report any suspicious or fraudulent activities to the supervisor or manager.-Maintain a secure and confidential environment for financial transactions.-Maintain accurate records of transactions and daily summaries.-Reconcile cash drawers at the end of each shift.-Prepare reports on transactions and other financial data as required.
-Accurately exchange foreign currency to the local currency and vice versa.-Calculate exchange rates based on the current market rates and provide customers with the correct amount.-Verify the authenticity of banknotes and detect counterfeit currency.-Maintain an organized and secure cash drawer.-Process incoming and outgoing remittance transactions, ensuring compliance with legal and company policies.-Verify customer identification and necessary documentation for remittance transactions.-Greet and assist customers in a professional and friendly manner.-Address customer inquiries and resolve any issues or concerns.-Promote additional services or products to customers when appropriate.-Ensure strict adherence to company and regulatory compliance standards.-Report any suspicious or fraudulent activities to the supervisor or manager.-Maintain a secure and confidential environment for financial transactions.-Maintain accurate records of transactions and daily summaries.-Reconcile cash drawers at the end of each shift.-Prepare reports on transactions and other financial data as required.