The teller is one of the branch's front liner and is basically the center of OTC transactions. He/she received, validates and post cash and check transactions for perso and FCDU CASA accounts and all miscellaneous transactions including other bank's services. He/she verifies depositor's signature, approves withdrawals within the authorized limit. Should there be reports needed relative to his/her work i.e. cash overage or shortages, he/she will prepare such report/s.
Cross-sell other bank products and services.
Immediate refer all RQCs (Requests, Queries, Complaints) to officers.