Performs over the counter financial transaction of clients that includes cash encashment, deposits, withdrawals, and remittance. The function includes the following:
• Providing accurate financial services to clients and cash handling activities
• Handling customer inquiries about Bank's products and services as well as cross-selling opportunities
• Exercising diligence for detection of counterfeit notes, fraudulent transactions, money laundering etc.
• Performing daily balancing of general ledger (i.e. physical cash and system statement)