Balance,control and manage the cash float by checking the amount of cash at the teller station and requesting and restocking of cash.
Dispense and receive physical cash,foreign exchange ,travellers cheques,western union transactions,drafts and other financial instruments over the counter to walk in customers.
Process and encash cheques presented by customers for deposit or pay out after checking identification,account details and other prescribed control.
Count cash received or dispensed to ensure that errors are avoided.
Reconcile own cash at the beginning and end of each day.
Provide advice to customers on the cash and other transaction processes to ensure the smooth flow of transaction.
Explain the banks procedure,security requirements as well as service offerings available to customers.
Identify sales leads and cross selling opportunities.
Adhere to prescribed control measures to prevent fraud,losses and shortages.
Perform same functionality for western union transaction and foreign exchange related teller functions and customer servicing.
|Last Resume Update||Mar 22, 2020|
|Address||boksburg, South Africa|