• Maintains a cash deposit and withdrawal; balances and audits the cash procedure according to policy and schedule.
• Compromises agents with their cash deposit withdrawal at bank.
• Searches for the cause of an overage or shortage when transaction error does not balance correctly.
• Motivates back office staff to remain friendly and professional at all times.
• Trains new staffs in Company practice and procedure.
• Handles upset or irate customers by phone call.
• Provides access to the bank and safety deposit and withdrawal.
• Bank reconciliation .
• Relays information to bank officials; may create reports at the end of each shift for reference.
• Cash risk assessment.
• Correspond with various other departments, discussing Company plans and agreeing on future paths to be taken.
• Maintains technical knowledge by attending educational workshops; reviewing publications.
• Improves bank statement by analyzing results; monitoring variances; identifying trends; recommending actions to management.
• Contributes to team effort by accomplishing related results as needed.
• Other job assign.