Manually Closing the $Teller

Related Topics

The following links provide more information about related topics: Audio Response and Online Banking | ATM and Debit Cards

If the ATM $teller is not setup to automatically close, the Dollar ($) Teller Balancing and Close window is used to manually close the $teller. To access the Dollar ($) Teller Balancing and Close window, on the Portico Explorer Bar, click General Operations in the Operations menu. On the General Operations menu bar, click Self Service, then click $Teller Balancing and Close.

Dollar ($) Teller Balancing and Close

How do I? and Field Help

Enter the teller ID and click Start to display the teller activity.

The following teller activity information appears:
Field Description

Teller Date

The teller open date.

Business Date

The date used to determine, for ATM network tellers, the current business date transactions are to be settled on.

GL Checking Account

The general ledger account to be credited for the teller's check disbursements.

Share Deposits

The count and total amount of share deposits.

Loan Payments

The count and total amount of loan payments.

Share Disbursals

The count and total amount of share disbursals.

Loan Disbursals

The count and total amount of loan disbursals.

Transfers\JV

The count and total amount of transfers and JV entries.

Memo Items Loan Payments

The count and total amount of memo item loan payments.

Memo Items Loan Transfers

The count and total amount of memo item loan transfers.

Next Day Items Next Day Deposits

The count and total amount of next day deposits.

Next Day Items Next Day Withdrawals

The count and total amount of next day withdrawals.

Next Day Items Total

The total count and total amount of next day deposits and withdrawals.

Opening Balance

The opening balance of the teller drawer.

Cash Received

The total amount of cash received.

Checks Received

The total amount of check received.

Cash Distributed

The total amount of cash distributed.

Checks Distributed

The total amount of checks distributed.

Currency Balance

The total amount of currency.

Drawer Balance

The closing drawer balance.

Prior Day Items Prior Day Deposits

The count and total amount of prior day deposits.

Prior Day Items Prior Day Withdrawals

The count and total amount of prior day withdrawals.

Prior Day Items Total

The total count and total amount of prior day deposits and withdrawals.

Select the Print report on doc insert printer check box to print the teller balancing report on the document-insert printer. If not selected, the report will print on the audit printer. Then, select the teller balancing report options:

  • Click the Print report only option to print the teller balancing report only.
  • Click the Hardcopy report only option to print the teller balancing report only.
  • Click the Screen display only option to display the teller balancing report online, but do not print the report.

Click Close to close the $teller.

General Ledger Effects: The teller drawer balance (general ledger account 739200) transfers to the following general ledger accounts:

  • DEBIT 739100 Vault cash general ledger account for the drawer balance
  • CREDIT 739200 Teller cash general ledger account for the drawer balance
  • DEBIT 739200 Teller cash general ledger account for checks disbursed
  • CREDIT 731000 Checks disbursed general ledger account specified in the GL Checking Account field on the Open tab for checks disbursed

Related Reports: The $teller closing information will appear on the Audit Trail Report 990

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