Receive and count cash at the beginning and closure of shifts
Provide savings account balance details to customers.
Undertake daily counting and balancing of the cash in the register as per provided schedules.
Perform specialised tasks such as preparing statements, personal and money orders.
Verify and receive loan and utility bill payments as well as mortgage payments.
Record all transactions at the closing of each shift.
Respond to customer queries relating to savings accounts as well as other bank-related products.
Opening new accounts.
  • Banking