6 Miscellaneous Transactions
The Teller can use Miscellaneous Transactions to perform GL transactions against a customer’s CASA account and GL account.
This topic contains the following subtopics:
- Miscellaneous Customer Debit
The Miscellaneous Customer Debit screen is used to transfer funds from the customer account to GL. - Miscellaneous Customer Credit
The Miscellaneous Customer Credit screen is used to transfer funds from GL to the customer account. - Miscellaneous GL Debit
The Miscellaneous GL Debit screen is used to debit an amount from a GL account of the transaction branch and pay out the equivalent amount in cash. - Miscellaneous GL Credit
The Miscellaneous GL Credit screen is used to credit an amount to a GL account of the transaction branch by pay-in of equivalent amount in cash. - Miscellaneous GL Transfer
The Miscellaneous GL Transfer screen is used to transfer the amount from a GL account to another GL account. - Miscellaneous Transfer
The Miscellaneous Transfer screen is used to facilitate transfer between the two different GLs or customer accounts.