About The Position

The Brink’s Company (NYSE:BCO) is a leading global provider of cash and valuables management, digital retail solutions, and ATM managed services. Our customers include financial institutions, retailers, government agencies, mints, jewelers, and other commercial operations. Our network of operations in 51 countries serves customers in more than 100 countries. We believe in building partnerships that secure commerce and doing that requires fostering an engaged culture that values people with different backgrounds, ideas, and perspectives. We build a sense of belonging, so all employees feel respected, safe, and valued, and we provide equal opportunity to participate and grow. Cash Services Manager is responsible cash forecasting, monitoring and oversight of cash loading. This individual must possess a positive can-do attitude, demonstrate enthusiasm for customers, solve problems, multi-task, and engage owner/operators in the process when necessary. The person will operate in a fast-paced, dynamic, and challenging environment and they must be passionate, accepting of a changing environment and constantly looking to influence the future outlook of the company.

Requirements

  • Strategic Relationship Building
  • Client-Focused Communication
  • Problem Solving & Analytical Thinking
  • Time Management & Prioritization
  • Adaptability in Fast-Paced Environments
  • Technical Learning & Process Innovation
  • Proficiency with Microsoft Office Suite is required
  • Strong working knowledge / understanding of Microsoft Excel is required
  • Ability to learn software applications quickly

Nice To Haves

  • Experience in a leadership role in area of Cash Management, Logistics or a similar field is a must
  • Bachelor’s Degree in Business, or related area
  • Highly ambitious, willing to take on new tasks with little to no direction
  • Acting number two to Sr Director of Cash Operations
  • Travel will be required (Approx. 20%)
  • If located remote from a PAI office, this may increase to 40%
  • Experience with PAI Reports is a plus

Responsibilities

  • Oversee day to day Cash Services, by providing training and support to Cash Services team
  • Daily cash management activities – keeping sufficient stock for ATMs to operate – while balance cost of cash and cost of transportation.
  • Monitoring closely for cash spikes and usage reduction, to adjust planning in JIT basis.
  • Assign and schedule team to cover certain geographies and time periods
  • Be first escalation point, where missed loads are not getting addressed in timely manner
  • Monitor data and KPI’s, then provide guidance to team to improve performance of this function
  • Maintain regular review with various armored carriers and other Cash Management functions, to create accountability for SLA’s – with penalties applied as needed
  • Manage 3rd party invoice review process, ensuring accurate and timely payments
  • Manage communication to management and key customer stakeholders, holding team accountable for key goals
  • Other duties may be assigned
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