Retail Support job at ABSA
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Retail Support
2026-05-28T18:18:45+00:00
ABSA
https://cdn.greatzambiajobs.com/jsjobsdata/data/employer/comp_3682/logo/Absa%20Group.png
FULL_TIME
Lusaka
Lusaka
10101
Zambia
Finance
Accounting & Finance, Business Operations, Customer Service, Admin & Office
ZMW
MONTH
2026-06-10T17:00:00+00:00
8

Job Summary

An interface between Back Office and Front-line staff. To facilitate workflow for onward processing between the two so that the latter minimize movements from their workstations hence improving the quality of service to customers.
Perform any other duties as assigned by the line Manager.

Job Description

Key Accountabilities

Accountability:  Transaction Processing 40%

Outputs:

  • Check and ensure that all entries are duly signed before processing. Ensure laid down due diligence procedures including FTOS is observed.
  • Perform FOS remote authorisation for Cashiers transactions.
  • Ensure all items being sent to other departments. are recorded /scheduled and have a Rotation number. Keep a control copy to track Turnaround Time (TAT). Chase for acknowledgements for outstanding control sheets. Escalate to Branch Manager or BOM if not resolved.
  • Work on all instructions immediately upon receipt to avoid loss of business due to delays. Finish all the day’s work within the normal working hours.
  • Carry out the call over of cashiers’ previous days vouchers by way of validating.
  •  Ensure that all account opening mandates are checked for quality assurance before they are sent to Record Management department for archiving

Accountability:  Rigour 5%

Outputs:

  • Conduct Snap checks as assigned and within the agreed time frames.
  • Hold keys for the Strong Room without any compromise.
  • Loading of Loan Applications and other customer instructions on Sybrin.

Accountability:  Customer Service 5%

Outputs:

  • Always practice the tenets of TCF (Treating Customers Fairly)
  • Respond to telephonic customer inquiries.
  • Act as principle point of contact between retail and operations through escalating all Back Office inquiries to the relevant depts. and tracking the turnaround time.

Accountability:  Cash Management Procedures – 40%

Outputs:

  • Responsible for managing the vault and all cash supplies on the tills (beginning and end of day and intra-day ) as well as cash sorting and CIT repatriation.
  • Ensure that the CIT end to end procedures are adhered to.
  • Supervise cashiers and ensure timely resolution of cash differences.
  • Perform Cashiers regular surprise checks and maintain a record of the checks for audit trail.
  • Monitor cash levels held by the cashiers and in the vault throughout the day to ensure that both elements are within limits.
  • Order Branch cash from cash provider or central Bank in accordance with limits set by the country head office.
  • Assist with daily reconciliation of Branch total cash and immediately escalate all cash issues directly to the Branch Manager or BOM in accordance with current procedures.
  • Ensure cash is packed /bundled correctly by front line/Tellers.
  •  Count all cash received or dispensed in detail to ensure that errors are avoided .The Bank has a zero tolerance policy for teller/cash errors and appropriate action will be taken, which may include formal disciplinary procedures.
  •  Own and manage internal Branch Ops queries and complaints related to cash by taking ownership and resolving in a timely manner.
  • Ensure that Bulk stock of controlled stationery is balancing daily.
  • Take stock and account for the working stock controlled stationery boxes to be locked in the vault as part of the close of day Branch checks.
  •  Ensure that all cash transaction records are kept meticulously and in accordance with Bank procedures. Ensure you make such documents

available for review /control purposes when required.

  • Hold one of the two keys to the vault and/or strong room without compromising.
  • Reconcile vault cash daily i.e. at the beginning and at the end of each day, as well as when cash is restocked in the course of the day.

Accountability: Branch Administration 5%

Outputs:

  • Receive, open and sort internal mail not marked confidential and deliver to the relevant areas for follow up action.
  • Ensure all outgoing mail from the branch is collected by the external provider daily. Follow up with the provider when items are not collected timely.
  • Complete daily/ monthly / quarterly/annual returns for signoff by the Branch Manager or BOM

Accountability: System Administration 5%

Outputs:

  • Act as one of the Systems Administrator for Start and End of Day and user maintenance.
  • Report all branch system failures to local IT help desk. Conduct system checks as directed by IT and ensure any unresolved issues are taken up by IT. Escalate outstanding issues to the Team Leader/Branch Manager when required.

Accountability: Risk and Control

Outputs:

Ensure that all activities and duties are carried out in full compliance with regulatory requirements, Absa Operational Risk Framework and internal Absa Policies and Standards.

 Education

Further Education and Training Certificate (FETC): Business, Commerce and Management Studies (Required)

  • Check and ensure that all entries are duly signed before processing. Ensure laid down due diligence procedures including FTOS is observed.
  • Perform FOS remote authorisation for Cashiers transactions.
  • Ensure all items being sent to other departments. are recorded /scheduled and have a Rotation number. Keep a control copy to track Turnaround Time (TAT). Chase for acknowledgements for outstanding control sheets. Escalate to Branch Manager or BOM if not resolved.
  • Work on all instructions immediately upon receipt to avoid loss of business due to delays. Finish all the day’s work within the normal working hours.
  • Carry out the call over of cashiers’ previous days vouchers by way of validating.
  • Ensure that all account opening mandates are checked for quality assurance before they are sent to Record Management department for archiving
  • Conduct Snap checks as assigned and within the agreed time frames.
  • Hold keys for the Strong Room without any compromise.
  • Loading of Loan Applications and other customer instructions on Sybrin.
  • Always practice the tenets of TCF (Treating Customers Fairly)
  • Respond to telephonic customer inquiries.
  • Act as principle point of contact between retail and operations through escalating all Back Office inquiries to the relevant depts. and tracking the turnaround time.
  • Responsible for managing the vault and all cash supplies on the tills (beginning and end of day and intra-day ) as well as cash sorting and CIT repatriation.
  • Ensure that the CIT end to end procedures are adhered to.
  • Supervise cashiers and ensure timely resolution of cash differences.
  • Perform Cashiers regular surprise checks and maintain a record of the checks for audit trail.
  • Monitor cash levels held by the cashiers and in the vault throughout the day to ensure that both elements are within limits.
  • Order Branch cash from cash provider or central Bank in accordance with limits set by the country head office.
  • Assist with daily reconciliation of Branch total cash and immediately escalate all cash issues directly to the Branch Manager or BOM in accordance with current procedures.
  • Ensure cash is packed /bundled correctly by front line/Tellers.
  • Count all cash received or dispensed in detail to ensure that errors are avoided .The Bank has a zero tolerance policy for teller/cash errors and appropriate action will be taken, which may include formal disciplinary procedures.
  • Own and manage internal Branch Ops queries and complaints related to cash by taking ownership and resolving in a timely manner.
  • Ensure that Bulk stock of controlled stationery is balancing daily.
  • Take stock and account for the working stock controlled stationery boxes to be locked in the vault as part of the close of day Branch checks.
  • Ensure that all cash transaction records are kept meticulously and in accordance with Bank procedures. Ensure you make such documents available for review /control purposes when required.
  • Hold one of the two keys to the vault and/or strong room without compromising.
  • Reconcile vault cash daily i.e. at the beginning and at the end of each day, as well as when cash is restocked in the course of the day.
  • Receive, open and sort internal mail not marked confidential and deliver to the relevant areas for follow up action.
  • Ensure all outgoing mail from the branch is collected by the external provider daily. Follow up with the provider when items are not collected timely.
  • Complete daily/ monthly / quarterly/annual returns for signoff by the Branch Manager or BOM
  • Act as one of the Systems Administrator for Start and End of Day and user maintenance.
  • Report all branch system failures to local IT help desk. Conduct system checks as directed by IT and ensure any unresolved issues are taken up by IT. Escalate outstanding issues to the Team Leader/Branch Manager when required.
  • Ensure that all activities and duties are carried out in full compliance with regulatory requirements, Absa Operational Risk Framework and internal Absa Policies and Standards.
  • Further Education and Training Certificate (FETC): Business, Commerce and Management Studies (Required)
  • Primary & Secondary Schooling (K-12)
professional certificate
36
JOB-6a18870580105

Vacancy title:
Retail Support

[Type: FULL_TIME, Industry: Finance, Category: Accounting & Finance, Business Operations, Customer Service, Admin & Office]

Jobs at:
ABSA

Deadline of this Job:
Wednesday, June 10 2026

Duty Station:
Lusaka | Lusaka

Summary
Date Posted: Thursday, May 28 2026, Base Salary: Not Disclosed

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Learn more about ABSA
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JOB DETAILS:

Job Summary

An interface between Back Office and Front-line staff. To facilitate workflow for onward processing between the two so that the latter minimize movements from their workstations hence improving the quality of service to customers.
Perform any other duties as assigned by the line Manager.

Job Description

Key Accountabilities

Accountability:  Transaction Processing 40%

Outputs:

  • Check and ensure that all entries are duly signed before processing. Ensure laid down due diligence procedures including FTOS is observed.
  • Perform FOS remote authorisation for Cashiers transactions.
  • Ensure all items being sent to other departments. are recorded /scheduled and have a Rotation number. Keep a control copy to track Turnaround Time (TAT). Chase for acknowledgements for outstanding control sheets. Escalate to Branch Manager or BOM if not resolved.
  • Work on all instructions immediately upon receipt to avoid loss of business due to delays. Finish all the day’s work within the normal working hours.
  • Carry out the call over of cashiers’ previous days vouchers by way of validating.
  •  Ensure that all account opening mandates are checked for quality assurance before they are sent to Record Management department for archiving

Accountability:  Rigour 5%

Outputs:

  • Conduct Snap checks as assigned and within the agreed time frames.
  • Hold keys for the Strong Room without any compromise.
  • Loading of Loan Applications and other customer instructions on Sybrin.

Accountability:  Customer Service 5%

Outputs:

  • Always practice the tenets of TCF (Treating Customers Fairly)
  • Respond to telephonic customer inquiries.
  • Act as principle point of contact between retail and operations through escalating all Back Office inquiries to the relevant depts. and tracking the turnaround time.

Accountability:  Cash Management Procedures – 40%

Outputs:

  • Responsible for managing the vault and all cash supplies on the tills (beginning and end of day and intra-day ) as well as cash sorting and CIT repatriation.
  • Ensure that the CIT end to end procedures are adhered to.
  • Supervise cashiers and ensure timely resolution of cash differences.
  • Perform Cashiers regular surprise checks and maintain a record of the checks for audit trail.
  • Monitor cash levels held by the cashiers and in the vault throughout the day to ensure that both elements are within limits.
  • Order Branch cash from cash provider or central Bank in accordance with limits set by the country head office.
  • Assist with daily reconciliation of Branch total cash and immediately escalate all cash issues directly to the Branch Manager or BOM in accordance with current procedures.
  • Ensure cash is packed /bundled correctly by front line/Tellers.
  •  Count all cash received or dispensed in detail to ensure that errors are avoided .The Bank has a zero tolerance policy for teller/cash errors and appropriate action will be taken, which may include formal disciplinary procedures.
  •  Own and manage internal Branch Ops queries and complaints related to cash by taking ownership and resolving in a timely manner.
  • Ensure that Bulk stock of controlled stationery is balancing daily.
  • Take stock and account for the working stock controlled stationery boxes to be locked in the vault as part of the close of day Branch checks.
  •  Ensure that all cash transaction records are kept meticulously and in accordance with Bank procedures. Ensure you make such documents

available for review /control purposes when required.

  • Hold one of the two keys to the vault and/or strong room without compromising.
  • Reconcile vault cash daily i.e. at the beginning and at the end of each day, as well as when cash is restocked in the course of the day.

Accountability: Branch Administration 5%

Outputs:

  • Receive, open and sort internal mail not marked confidential and deliver to the relevant areas for follow up action.
  • Ensure all outgoing mail from the branch is collected by the external provider daily. Follow up with the provider when items are not collected timely.
  • Complete daily/ monthly / quarterly/annual returns for signoff by the Branch Manager or BOM

Accountability: System Administration 5%

Outputs:

  • Act as one of the Systems Administrator for Start and End of Day and user maintenance.
  • Report all branch system failures to local IT help desk. Conduct system checks as directed by IT and ensure any unresolved issues are taken up by IT. Escalate outstanding issues to the Team Leader/Branch Manager when required.

Accountability: Risk and Control

Outputs:

Ensure that all activities and duties are carried out in full compliance with regulatory requirements, Absa Operational Risk Framework and internal Absa Policies and Standards.

 Education

Further Education and Training Certificate (FETC): Business, Commerce and Management Studies (Required)

Work Hours: 8

Experience in Months: 36

Level of Education: professional certificate

Job application procedure

Application Link:Click Here to Apply Now

All Jobs | QUICK ALERT SUBSCRIPTION

Job Info
Job Category: Administrative jobs in Zambia
Job Type: Full-time
Deadline of this Job: Wednesday, June 10 2026
Duty Station: Lusaka | Lusaka
Posted: 28-05-2026
No of Jobs: 1
Start Publishing: 28-05-2026
Stop Publishing (Put date of 2030): 10-10-2076
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