Skip to main content

Get Teller Till List

Overview

The Get Teller Till List feature provides comprehensive views of all teller tills across branches with real-time balance information, status tracking, and filtering capabilities for management and monitoring.

What It Does

Retrieves lists of teller tills with current balances, status (active/closed), assigned tellers, transaction counts, and variance history while supporting filters by branch, status, date range, and teller.

Business Value

  • Operational Visibility: Monitor all teller positions
  • Cash Management: Track till balances across locations
  • Performance Monitoring: Identify patterns and issues
  • Planning: Support staffing and cash allocation decisions
  • Audit Support: Quick access to till information

Who Uses This Feature

  • Branch Managers: Monitor till operations
  • Operations Managers: Oversee multi-branch teller activity
  • Treasury Teams: Track cash distribution
  • Audit Teams: Review till compliance
  • Supervisors: Manage daily teller operations

Key Capabilities

  • View all tills with real-time data
  • Filter by branch, status, teller, date range
  • Sort by balance, status, opening time
  • Export till lists for reporting
  • Pagination for large datasets
  • Summary statistics (total cash, active tills)

How to Use

  1. Access till management dashboard
  2. Select branches to view (or all)
  3. Apply status filters (active/closed/all)
  4. Choose date range
  5. Filter by teller if needed
  6. View till list with details
  7. Click till for full transaction history
  8. Export data if required

Common Use Cases

  • Daily Monitoring: Review all active tills at branch opening
  • Cash Planning: Analyze till balances for allocation
  • Audit Review: List all tills for period examination
  • Performance Analysis: Identify high-variance tills
  • Multi-Branch Management: Monitor enterprise-wide till operations

Important Considerations

  • Real-time balance updates
  • Large result sets use pagination
  • Historical data availability varies
  • Access restricted by user permissions
  • Closed tills remain searchable for audit
  • Summary calculations exclude inactive tills

Integration with Other Processes

Supports:

  • Cash forecasting and planning
  • Performance review processes
  • Audit and compliance activities
  • Daily reconciliation workflows
  • Staffing and resource allocation