About the role
- Melakukan forecasting kebutuhan cash ATM berdasarkan data transaksi dan tren historis.
- Menganalisis kebutuhan replenishment dan cash availability ATM.
- Monitoring aktual transaksi dan membandingkannya dengan hasil forecast.
- Melakukan adjustment forecast berdasarkan perubahan kebutuhan dan kondisi operasional.
- Berkoordinasi dengan tim Planning & Control, Operations, dan Cash Management.
- Menyusun laporan forecast dan analisis variance secara berkala.
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Questions, answered
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