Are you an experienced Cash Operations, Treasury Operations, ATM Operations or Banking Operations professional looking for your next contract opportunity?
We are partnering with a highly regarded financial services organisation to recruit multiple Retail Cash Analysts to support a critical operational function responsible for cash forecasting, cash management, ATM operations and branch cash services across a large retail network.
This is an excellent opportunity to join a high-performing team where your analytical skills, operational mindset and attention to detail will directly contribute to ensuring the efficient movement and management of cash across a national network.
The Opportunity
As a Retail Cash Analyst, you will play a key role in supporting day-to-day retail cash operations, ensuring cash levels are appropriately forecasted, monitored and managed across branches and ATM networks.
You will work closely with internal stakeholders, cash logistics providers and operational teams to investigate discrepancies, support reporting requirements and ensure operational excellence across the cash function.
Key Responsibilities
- Monitor and analyse cash positions across retail banking channels
- Support ATM and branch cash management activities
- Conduct cash forecasting and demand analysis
- Investigate and resolve cash discrepancies and operational exceptions
- Prepare daily, weekly and monthly operational reports
- Perform reconciliations and data analysis activities
- Liaise with internal stakeholders and external service providers
- Support process improvement initiatives across the cash operations function
- Ensure compliance with operational controls, policies and regulatory requirements
To be successful in this role, you will ideally bring experience from banking, treasury operations, cash operations, settlements, payments or a related financial services environment.
You will possess:
- Experience in Cash Operations, ATM Operations, Treasury Operations, Settlements or Banking Operations
- Strong reconciliation and investigation skills
- Excellent analytical and problem-solving abilities
- Advanced Excel skills
- High attention to detail and accuracy
- Strong communication and stakeholder management skills
- Ability to manage competing priorities in a fast-paced environment
- Experience working within highly controlled and process-driven environments
- ATM Operations
- Cash Forecasting
- Branch Cash Management
- Treasury Operations
- Settlements
- Reconciliations
- Liquidity Management
- Payments Operations
- Financial Markets Operations
- Cash Logistics / CIT Management
- $500 per day + Super
- 6-month contract opportunity
- Multiple positions available
- Opportunity to work with a leading financial services organisation
- Collaborative and supportive team environment
- Exposure to large-scale retail cash operations
- Immediate start available
Apply now or contact Alex Sacro at Kennedy Reid for a confidential discussion.





