Release: 1. FNSRTS302A Handle foreign currency transactions



Similar documents
FNSRTS309A Maintain main bank account

Release: 1. FNSILF302A Process a life insurance application

FNSRSK601A Develop and implement risk mitigation plan

FNSIBK605A Manage insurance brokerage service performance

FNSBKG402A Establish and maintain a cash accounting system

FNSIBK404A Provide a claims service to an insurance broking client

How To Write A Life Insurance Claim

Revision Number: 1. FNSMCA301A Collect debts

Release: 1. CPPDSM4080A Work in the real estate industry

Release: 1. FNSACC407A Produce job costing information

Release: 1. CPCCBC4026A Arrange building applications and approvals

FNSPIM411A Manage personal injury case loads

FNSFLT203A Develop understanding of debt and consumer credit

FNSACC611A Implement an insolvency program

Release: 1. ICADBS603A Determine suitability of database functionality and scalability

Release: 1. ICADBS502A Design a database

Release: 1. ICAICT604A Identify and implement business innovation

PSPWPR401A Process incoming workplace relations enquiries

FNSBKG405A Establish and maintain a payroll system

Revision Number: 1. BSBFIA302A Process payroll

CPCPFS4005A Commission fire alarm and detection systems

Release: 1. ICAPRG426A Prepare software development review

FNSASICN503A Provide Tier 1 personal advice in general insurance

BSBADM406B Organise business travel

BSBFIA303A Process accounts payable and receivable

SIRXCCS408 Build retail relationships and sustain customer loyalty

Revision Number: 1. BSBADM307B Organise schedules

CPCPMS3017A Install and test split system air conditioning

Release 1. ICAICT814A Develop cloud computing strategies for a business

ICAWEB405A Monitor traffic and compile website traffic reports

BSBCCO501B Develop business continuity strategy

BSBGOV403A Analyse financial reports and budgets

Release: 1. ICAPMG601A Establish IT project governance

Release: 1. CPPDSM4055A Maintain asset management system

BSBADV509A Create mass print media advertisements

SIRXSLS008A Develop a sales strategy

BSBMKG508A Plan direct marketing activities

How To Manage A Store Security Unit

Revision Number: 1. BSBADV603B Manage advertising production

CPPSEC4017A Determine security system configurations

LMFGN3002B Estimate and cost job

Release: 1. BSBCMN207A Prepare and process financial/business documents

PSPCRT409B Administer court fines and debt management

Release: 1. CPPDSM5032A Market the agency

Release: 1. ICADBS601A Build a data warehouse

Release: 1. ICADBS412A Build a database

Release: 1. FNSACCT406B Maintain asset and inventory records

BSBLEG515A Apply legal principles in wills and probate matters

Release: 1. CPPDSM4003A Appraise property

Revision Number: 1. FNSFMB402A Provide finance and mortgage broking services

Release: 1. ICAPRG502A Manage a project using software management tools

ICADBS504A Integrate database with a website

ICAICT704A Direct ICT in a supply chain

Release: 1. ICASAS407A Conduct pre-installation audit for software installation

BSBMKG409A Design direct response offers

Revision Number: 1. SIRXCCS001A Apply point-of-sale handling procedures

Release: 1. BSBPMG509A Manage project procurement

MEM30021A Prepare a simple production schedule

Release: 1. CPPDSM4012A List property for sale

Release: 1. BSBFIM501A Manage budgets and financial plans

BSBCUS501C Manage quality customer service

AURS344330A Inspect, appraise and purchase used motor vehicles to supplement stock for sale

SIRXSLS001A Sell products and services

AURC465349B Prepare a vehicle repair quotation

BSBHRM502A Manage human resources management information systems

TLIL4059A Implement asset management systems

Release: 1. BSBPMG510A Manage projects

BSBMKG506B Plan market research

TAEDES401A Design and develop learning programs

MEM11015B Manage warehouse inventory system

ICANWK402A Install and configure virtual machines for sustainable ICT

Release: 1. BSBPMG503A Manage project time

Release: 1. ICAWEB414A Design simple web page layouts

Release 1. BSBPMG410A Apply project time-management techniques

Release: 1. CPPSEC4015A Maintain networked security system

SITXCOM004A Communicate on the telephone

ICASAS420A Provide first-level remote help-desk support

BSBMKG610A Develop, implement and monitor a marketing campaign

Transcription:

Release: 1 FNSRTS302A Handle foreign currency transactions

FNSRTS302A Handle foreign currency transactions Modification History Not applicable. Unit Descriptor This unit describes the performance outcomes, skills and knowledge required to provide customer service and handle foreign currency transactions including buying and selling foreign currency travellers cheques, notes and coins within a retail banking environment. Application of the Unit This unit may apply to a range of job roles in organisations dealing with retail foreign currency exchange. Licensing/Regulatory Information No licensing, legislative, regulatory or certification requirements apply to this unit at the time of endorsement. Pre-Requisites Not applicable. Employability Skills Information This unit contains employability skills. Approved Page 2 of 6

Elements and Performance Criteria Pre-Content ELEMENT Elements describe the essential outcomes of a unit of competency. PERFORMANCE CRITERIA Performance criteria describe the performance needed to demonstrate achievement of the element. Where bold italicised text is used, further information is detailed in the required skills and knowledge section and the range statement. Assessment of performance is to be consistent with the evidence guide. Elements and Performance Criteria 1. Identify nature of customer's foreign currency needs 2. Verify that the proposed transaction can be conducted 3. Conduct the transaction 4. Maintain accurate records of transaction 1.1. The nature of the foreign currency transaction is clarified with the customer 1.2. Relevant information is obtained from the customer including verifying the identity of the person presenting notes for sale or wishing to purchase foreign currency according to organisational policy and procedures 1.3. Customer requests for foreign currency dealings are handled in accordance within the officer's authority to approve transactions 2.1. Cleared funds are identified as available for requests to purchase foreign currency 2.2. Requests for foreign currency notes are assessed against current stock of currencies held with currencies not held on site ordered and the customer advised when they will be available 2.3. Foreign currency notes presented for sale are verified for authenticity according to organisational procedures 3.1. Conversion of foreign currency amounts is calculated using the organisation's set procedures and tables or by accessing relevant databases 3.2. The customer is provided with a copy of the rates used to calculate the currency conversion 3.3. Where travellers cheques are being purchased or sold, the customer s signature is witnessed in accordance with policies and procedures 3.4. Details of the transaction are entered into the relevant database 4.1. Required vouchers and receipts are completed in accordance with organisation procedures and required signatures are obtained on Approved Page 3 of 6

relevant documentation 4.2. Relevant reports are completed and filed in the event of significant cash transactions including relevant reports where a transaction is considered a possible suspect transaction 4.3. Internal records of foreign currency transactions are updated and maintained in accordance with organisational procedures Required Skills and Knowledge This section describes the skills and knowledge required for this unit. Required skills communication skills to: determine and confirm customer requirements, using questioning and active listening as required provide relevant responses to customer queries on foreign currency transactions liaise with others, share information, listen and understand use language and concepts appropriate to cultural differences numeracy and IT skills to: make basic financial transaction calculations access and use computer-based transaction systems access and use internet information such as currency exchange rates problem solving skills to address customer service issues literacy skills to read documents and complete forms and transaction records accurately organisational skills, including the ability to plan and sequence work teamwork skills to work cooperatively with others self-management skills for complying with procedural requirements learning skills to maintain knowledge of changes to currency exchange process and procedures Required knowledge industry codes of practice including: Privacy Act Consumer Credit Code Code of Banking Practice Anti-Money Laundering and Counter Terrorism Financing Acts organisation policies and procedures in regard to foreign currency transactions relevant fees and charges for foreign currency transactions Approved Page 4 of 6

relevant legislation and statutory requirements including Financial Transaction Reports Act (FTRA) Evidence Guide The evidence guide provides advice on assessment and must be read in conjunction with the performance criteria, required skills and knowledge, range statement and the Assessment Guidelines for the Training Package. Overview of assessment Critical aspects for assessment and evidence required to demonstrate competency in this unit Context of and specific resources for assessment Method of assessment Evidence of the ability to: undertake a range of foreign currency transactions effectively and accurately, completing relevant checks, documentation and records follow organisational procedures when conducting foreign currency transactions especially to ensure that unacceptable risks are not taken. Assessment must ensure: competency is demonstrated in the context of the financial services work environment and conditions specified in the range statement either in a relevant workplace or a closely simulated work environment access to and the use of a range of common office equipment, technology, software and consumables access to foreign exchange rates systems and current information. A range of assessment methods should be used to assess practical skills and knowledge. The following examples, in combination, are appropriate for this unit: evaluating an integrated activity which combines the elements of competency for the unit or a cluster of related units of competency observing processes and procedures in workplaces verbal or written questioning on underpinning knowledge and skills accessing and validating third party reports. Approved Page 5 of 6

Guidance information for assessment Range Statement The range statement relates to the unit of competency as a whole. It allows for different work environments and situations that may affect performance. Bold italicised wording, if used in the performance criteria, is detailed below. Essential operating conditions that may be present with training and assessment (depending on the work situation, needs of the candidate, accessibility of the item, and local industry and regional contexts) may also be included. Foreign currency transactions may include: conversion of Australian dollars to another currency foreign notes and coins international drafts overseas bank cheques telegraphic transfers traveller s cheques. The customer may be: a customer of another financial institution a new customer a resident or non-resident of Australia an existing customer. Relevant information to be collected may include: bank account details name, address and contact details source of funds to cover transaction. Cleared funds refers to: cash cheque from same institution cleared funds within a bank account held at same institution. Significant cash transactions are: transactions involving currency (i.e. coin and paper money of Australia or of a foreign country) in excess of the equivalent of $10,000 or as determined by legislation. Unit Sector(s) Financial retail services Approved Page 6 of 6