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Add Cash to Teller Till

Overview

The Add Cash to Teller Till feature enables tellers to receive cash from vaults or other sources to replenish till balances during operations, ensuring continuous customer service.

What It Does

Processes cash additions to teller tills from authorized sources like branch vaults, recording denominations, updating balances in real-time, and maintaining complete audit trails.

Business Value

  • Operational Continuity: Prevents till shortages during busy periods
  • Flexibility: Quick replenishment without closing till
  • Control: Tracks all cash movements into tills
  • Efficiency: Minimizes customer wait times
  • Accountability: Links cash additions to sources

Who Uses This Feature

  • Tellers: Request till replenishment
  • Branch Supervisors: Approve and process cash additions
  • Cash Managers: Monitor till liquidity
  • Operations Staff: Execute cash transfers

Key Capabilities

  • Add cash from vault to till
  • Record denomination breakdown
  • Support multiple currencies
  • Real-time balance updates
  • Require authorization for large amounts
  • Generate receipt documentation

How to Use

  1. Identify till needing cash
  2. Select funding source (vault)
  3. Enter amount to add
  4. Record denomination breakdown
  5. Add transaction reference
  6. Submit for processing
  7. Verify till balance increased
  8. Document physical cash receipt

Common Use Cases

  • Peak Hour Replenishment: Add cash during high traffic
  • Low Balance Alert: Respond to till shortage warning
  • Large Transaction: Prepare for expected big withdrawal
  • Currency Exchange: Add specific denominations
  • Emergency Top-Up: Quick cash addition for urgent need

Important Considerations

  • Physical cash must match system entry
  • Source vault must have sufficient balance
  • Large additions may need supervisor approval
  • Denomination accuracy critical for reconciliation
  • Till maximum balance may limit additions
  • Both parties should verify cash count

Integration with Other Processes

Works with:

  • Branch vault management
  • Cash forecasting systems
  • Till balance monitoring
  • Daily reconciliation