Reponsible for opens and closes vaults daily, controls cash in the vaults, distributes daily cash tellers, order cash for the branch Prepares daily proof record, balancing the branch Issues, official and traveler's checks, and issues or redeems savings bonds daily settlements of teller cash and proofs transactions. Opening and closing new accounts Order checks and ATM cards and provides stater checks Business calls, cross-selling banks products, staff oporational meetings etc....