1. Provides account services to customers by receiving deposits and loan payments, cashing cheques, issuing savings withdrawals and recording deposits.
2. Cross-sells bank products by answering inquiries, informing customers of new services and product promotions, ascertaining customers' needs and directing customers to a branch representative.
3. Sorting of cheques, recording of cheques and submitting them to the Head of Operations for clearing
4. Reconciles cash drawer by proving cash transactions; counting and packaging currencies; reconciling other transactions; turning in excess cash and mutilated currency to the Head of Operations