Interact with customers face to face to receive and process company products such as money transfers, money orders, check cashing, bill payments, selling and buying foreign currency.
Accurately verify or enter customers information in the system.
Assist customers with processing transactions, cancellations, questions about services.
Balance the cash register and prepare bank deposits.
Prepare daily transactions reports.
Custom Insert Operator
Fssi - Financial Statement Services
09.2000 - 04.2007
Preparing mailing order by folding and inserting papers items into envelopes or packages by hand as specified by work orders.
Confirm mailing addresses and micro numbers are visible in envelope window.
Ensure all envelopes are stamped and sealed.
Transfer sealed envelopes or packages in mail trays to a metering machine to apply appropriate postage to each mail piece.