Controlling cash in teller’s drawer.
Preparing a daily cash management report for vault balancing.
Assist teller find differences if end of day debits and credit are out of balance.
Counting of cash at the beginning and end of each working day.
Dealing with customer’s inquires.
Receive and count working cash at beginning of shift.
Identify customers, validate and cash checks.
Accept cash and checks for deposit and checks accuracy of the deposit slip.
Process cash withdrawal.
Receiving and verifying loan payments.
Balance currency, cash and checks in cash drawer at d close of work.
Record all transactions promptly, accurately and in compliance with bank procedures.
Opening of account, sourcing for customer.
Credit & loan Officer