Job Responsibilities:Managing all cash centers activities & set the cash strategy.Managing all bank cash investment & making decisions for any cash requirements to cover the cash liquidity or invest the cash surplus.Ensure the implementation for the bank monetary policy.Ensure the best cash management optimization for bank portfolio.To make synergy between different cash center locations to enhances decision-making and speeds up execution across both centers.Ensure operational efficiency by alignment and standardization in policies through different cash center locations, reduce miscommunication, and foster standardized workflows.Develop a cash mapping for the bank to make sure that most of cash in Circulation without incurring any costs of keeping it and making profits from its investment.Managing bank cash investment in coordination with treasury& CLM.Set the goals and vision for cash distributions among the required channels.Ensure the use of cash control systems and their continuous development to ensure adherence to the bank policy, procedures, the Central Bank's instructions & compliance regulationsDefining the operating cash limits & cash insurance limits for cash centers.8-10 years of banking experience within operations.