PC/FX™ ensures this customer touchpoint operates smoothly and effectively. All teller actions are handled by the software including:
- Cash in
- Cash out
- Open Day
- Open Next Day
- Close Day
- Single transaction processing
- Multiple transaction processing for same customer
– Individual line item tracking / printing
– Mixed product capability
– Net Due to / Due from calculation
– Full modification before completion
– Foreign Currency / Banknotes
– Local Currency / Banknotes (Wholesale teller)
– Traveler’s Cheques
– Precious Metals
– Calling Cards
– Drafts
– Wires
– Other user/teller defined products
- Cash In-Transit Buy / Sell (Wholesale teller)
– Valuation date tracking
– Special inventory reporting
- Mixed Tender payments
- Customer deposit transaction processing
– Streamlined encashment processing
- Automatic Product / Tier rate calculation
– Supervisor override
– Direct entry allowed (Wholesale teller)
– Base or reciprocal calculation capability
- Automatic Service Charge (income) calculation
– User override
- Direct Fee (expense) entry allowed (Wholesale teller)
- Automatic Tax calculation
- Rate table inquiry
- Multiple tender type selection (method of payment)
– User definable allowable retail tender types
– User definable allowable wholesale tender types
– User definable Tender to types
– User definable Tender from types
– Mixed tenders
- Transaction journal inquiry
- Large transaction tracking (for regulatory compliance)
- Transaction reversal