- Teller Cloud User Guide
- Branch Operations
- Open Teller Batch
2.3 Open Teller Batch
The Open Teller Batch screen is used to open a teller batch on a specified date.
A Teller can initiate the teller batch with the current cash position that has been retained from the previous day or start with zero cash and subsequently buy cash from the vault. The system will default the cash balances on opening a teller batch.
To open a teller batch:
- On the Home screen, from Teller mega menu, under Branch Operations, click Open Teller Batch or specify Open Teller Batch in the search icon bar and select the screen.The Open Teller Batch screen is displayed.
- On the Open Teller Batch screen, specify the fields. For more information on fields, refer to the field description
table.
Table 2-3 Open Teller Batch - Field Description
Field Description Posting Date
Indicates the date on which the vault batch needs to be opened.Note:
By default, the system displays the current date.Populate Denominations Click this button to automatically populate total units using data from the previous closing balance. If it is not selected, the users must manually input the total units to proceed. Currency
Displays the currency code.
Total Cash
Specify the total cash for a particular currency, physically present in the bank teller, at the beginning of the current posting date.
Cash Available
Displays the system calculated cash for a particular currency, which is available in the vault at the beginning of the current posting date.Note:
The amount shown in this column depends on the cash transactions that were carried out by the vault until the last posting date.Shortage/ Overage Amount
Displays the difference between the total cash and the cash available with the Teller, at the end of the current posting date. Based on this difference, the overage or the shortage amount is displayed.Note:
An overage indicates that the physical cash with the Teller is more than the available cash as calculated by the system. A shortage indicates that the available cash calculated by the system is more than the physical cash present with the Teller.Currency
Displays the currency code.
Denomination
Displays the denomination code.
Demon Type
Displays the demon type.
Values: Note or Coin
Total Units
Specify the total units available while closing the batch.
Total Value
Displays the total value based on the total units.
System Units
Displays the units available in the system.
System Total
Displays the total value available in the system.
Shortage/Overage Units
Displays the shortage/overage units.
Shortage/Overage Amount
Displays the shortage/overage amount.
Total Cash Amount
Displays the total cash amount.
Denomination Total
Displays the total denomination value with the currency.
Validate Denominations
Click this button to calculate and display the Total Cash and Shortage/Overage Amount fields based on the currency selected.
- Click Submit.The teller batch is opened for the specified posting date.
Note:
The Teller can perform the relevant teller operations for the posting date. The system does not allow to open the vault batch if the physical cash entered is not the same as the system cash. The system also allows to re-open the Teller batch for the current system date.
Parent topic: Branch Operations