Savings deposits, withdrawals
(cashier's checks, traveler's cheques, money orders,
Payment collecting
Promotion of the financial institution's products
Business referrals (trust, insurance, lending, etc.)
Cash advances
Savings bond purchase or redemption
Resolving customer issues
Balancing the vault, cash drawers, ATMs, and TAUs
Batching and Processing Proof Work (On-Us/Not-On-Us Checks, Payment Coupons, Counter Slips, etc.)
May include ordering products for the customer (checks, deposit slips, etc.)