Bank Teller
Bank of the Philippine Islands
Total years of experience :0 years, 7 Months
1) Receiving deposits, withdrawal, cashing checks
Balance currency, coin, and checks in cash drawers at ends of shifts, and calculate daily transactions using computers, calculators, or adding machines.
2) Cash checks and pay out money after verifying that signatures are correct, that written and numerical amounts agree, and that accounts have sufficient funds.
3) Receive checks and cash for deposit, verify amounts, and check accuracy of deposit slips.
4) Examine checks for endorsements and to verify other information such as dates, bank names, identification of the persons receiving payments and the legality of the documents.
5) Enter customers' transactions into computers in order to record transactions and issue computer-generated receipts.
6) Count currency, coins, and checks received, by hand or using currency-counting machine, in order to prepare them for deposit or shipment to branch banks or the Federal Reserve Bank.
7) Identify transaction mistakes when debits and credits do not balance.
8) Prepare and verify cashier's checks.
9) Arrange monies received in cash boxes and coin dispensers according to denomination.
10) Responsible for updating client’s account and high risk accounts.
11) Sorting of client’s documents
12) Validates deposits.
Course:
. (Class Salutatorian) Elementary: