a) The collection of revenue from the stations on a daily basis.
b) Check and Validate that the security seals and zip locks are correct and intact on all
security bags and items.
c) Transportation of additional Cash and Exchange to the stations and verifying the correct
amount of each transaction.
d) Delivery of coins to replenish the Change Hoppers of the TVM
e) Opening and Closing the Coin Box and Note Boxes of the station and emptying the revenue
into their respective security bags.
f) Counting the revenue collected from the stations at the IAD office and verifying the amount
with the IAD Supervisor.
g) Transporting the Revenue Counted to the various banks.