How do you reconcile cash drawers and vaults at the end of the day?
As a bank teller, you handle cash transactions every day, but do you know how to reconcile your cash drawers and vaults at the end of the day? Reconciling cash means verifying that the amount of money you have in your drawer or vault matches the amount you started with and the amount recorded in your system. This is a crucial step to prevent cash theft and fraud, as well as to ensure accuracy and accountability. In this article, we will explain how to reconcile cash drawers and vaults at the end of the day in six easy steps.