Washington Mutual Bank
September 2000 — February 2001
Balance cash and checks in cash drawer at the end of shift.
Use computers, calculators and adding machines to make calculations, track accounts and issue receipts.
Cash or deposits checks after verifying signatures, amounts and accuracy.
Count and organize bills, coins and checks.
Process the paperwork for certificates of deposits cashier's checks and traveler's checks.
Count and verify vault and armored car deposits.
Identify and solve problems with the customers accounts.
Gather and process information needed to open new customer accounts due.
Compute fees, interest and service charges.
Receive loan and utility bill payments. Verify payments dates and amount due.