Bank Teller: Trusted Customer Service & Cash Handling

Paycom

Greenville (MS)

Hybrid

USD 26,000 - 36,000

Full time

6 days ago
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Job summary

Planters Bank & Trust Company in Greenville, MS seeks a Teller to provide prompt, accurate customer service at the teller window and maintain a secure cash drawer. You will cross-sell bank products and refer customers to the appropriate staff.

Primary duties include processing deposits and withdrawals, verifying cash, and balancing the cash at shift end while upholding confidentiality and professional conduct.

Qualifications

  • High School Diploma or equivalent preferred.
  • Basic Accounting knowledge.
  • 6 months of cash handling and balancing money transactions within prior four years.
  • Communication skills in dealing with customers and employees.
  • Satisfactory Credit Bureau and Background Check Report.
  • Equipment: Computer Software, Ten-Key calculator, Photocopier, Telephone, Fax Machine.

Responsibilities

  • Operate a teller window to serve bank customers with prompt, accurate service.
  • Maintain a strict standard of confidentiality involving all transactions.
  • Promote and maintain positive relations with customers and prospects.
  • Cross-sell bank products at every appropriate opportunity.
  • Follow department policies and procedures and assist in training new staff.
  • Handle deposits, verify cash, and provide receipts; manage cash drawer balances.
  • Support ATM operations and safe deposit processes as needed.

Skills

Cash handling
Balancing money transactions
Communication skills
Customer service
Confidentiality

Education

High School Diploma or equivalent

Tools

Computer Software
Ten-Key calculator
Photocopier
Telephone
Fax Machine

Job description

Planters Bank & Trust Company in Greenville, MS seeks a Teller to provide prompt, accurate customer service at the teller window and maintain a secure cash drawer. You will cross-sell bank products and refer customers to the appropriate staff.

Primary duties include processing deposits and withdrawals, verifying cash, and balancing the cash at shift end while upholding confidentiality and professional conduct.

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