As a bank teller I diligently worked with customers and attended to their needs. I handled their checks, deposits, and withdrawals effectively and as best as I knew how.
Overview
2
2
years of professional experience
Work History
Bank Teller
FSNB
Conyers, Georgia
08.2024 - 09.2024
Processed customer deposits and withdrawals accurately, balancing cash drawer daily.
Provided exceptional customer service to customers by answering inquiries, resolving complaints and processing transactions in a timely manner.
Assisted customers with opening new accounts, ordering checks, and setting up online banking services.
Cross-sold bank products such as savings accounts and credit cards to existing clients.
Performed cash handling duties including counting currency, coins and checks.
Handled large sums of money with accuracy while maintaining appropriate levels of security.
Verified customer signatures on documents and ensured accuracy of all paperwork before submitting for approval.
Cahsier
Mcdonalds, PDI FOODS
Covington, GA
04.2024 - 07.2024
Greeted customers and answered any questions they had about the store's products and services.
Operated cash register efficiently and accurately, processed payments by cash, check, credit card, gift card or automatic debit.
Counted money in cash drawer at the beginning of shift to ensure that amounts were correct and have sufficient change.
Issued receipts, refunds, credits or change due to customers.
Stocked shelves with merchandise when needed.
Conducted price checks for special orders or discounts as requested by customers.
Maintained cleanliness of checkout area including countertops, registers, windowsills and floors.
Cashier
Taco Bell
Lawrenceville, GA
05.2022 - 08.2022
Greeted customers and answered any questions they had about the store's products and services.
Operated cash register efficiently and accurately, processed payments by cash, check, credit card, gift card or automatic debit.
Counted money in cash drawer at the beginning of shift to ensure that amounts were correct and have sufficient change.
Issued receipts, refunds, credits or change due to customers.
Stocked shelves with merchandise when needed.
Balanced daily transactions on a computerized point-of-sale system.
Conducted price checks for special orders or discounts as requested by customers.