Sharita R. Moore
Tallahassee, Florida 32312
Objective
Obtain employment utilizing versatile experience to help regulate workflow and grow with business.
Employment
Bank Teller November 2011-June2012
Capital City Bank
Balance currency, coin and checks in cash in cash drawers at end of shifts, and calculate daily transactions
using computers, calculator, or adding machines. Cash checks and pay out money after verifying that
signatures are correct, that written and numerical amounts agree, and that account have sufficient funds
.Receive checks and cash for deposit, verify amounts and check accuracy for deposit slips. Examine
checks for endorsements and to verify other information such as dates, bank names, identification of the
person receiving payment and the legality of the documents. Enter customer’s transactions into computer
in order to record transactions and issue computer-generated receipts. Count currency, coins and checks
received by hand or using currency-counting machine, in order to prepare them for deposit or shipment to
branch banks or the Federal Reserve Bank. Identify transaction mistakes when debits and credit do not
balance. Prepare and verify cashier’s checks. Received and processed transactions such as automated
teller transactions, night deposits and mail deposits. Receive mortgage, loan payments, verifying
payment dates and amounts due. Resolve problems or discrepancies concerning customers’ accounts.
Explain, promote and sell products or services such as traveler checks, savings bonds, money orders and
cashier’s checks, using computerized information about customers to tailor recommendations. Monitor
bank vaults to ensure balances are correct. Order a supply of cash to meet daily needs. Receive and
count daily inventories of cash, drafts and travelers’ checks. Count, verify and post armored car deposits.
Carry out special services for customers such as ordering bank cards and checks. Compute financial fees,
interest and services charges. Obtain and process information required for the provision of services, such
as opening accounts, savings plans, and purchasing bonds.
Armored Car Teller December 2008-November 2011
Capital City Bank
Processed client deposit bags/coin bags bought to facility via armored courier. Verify deposit bags to
manifest under dual control. Duties included counting and verifying bank deposits, preparing change
orders and processing coin. Processed customers deposits bought to facility via armored car by counting
currency, separating or segregating currency, packaging/un-packaging, strapping/bricking, seal/unsealing
bags, and maintain inventory counts and levels. Gave courier the clients deposit receipts from previous
day and processed daily client outgoing change order requests. Recorded deposit bag numbers to
appropriate client name and account number on Money Center Depository Log. Processed deposit bags,
coin bags and mail transactions. Processed deposit slips for lockbox clients. Processed off-site ATM cash
loads/unloads. Received and processed outgoing domestic collection items. Processed credit
verifications received by mail or fax.
Cashier May 2000-March 2003
Publix Supermarket Tallahassee, Florida
Operated cash register, counted cash drawer (i.e., performed a cash audit of the contents in an assigned
cash drawer at both the "start" and "end" of the actual work shift). Added up or recorded the purchases of
a customer into computerized cash register efficiently and accurately. Collected money in the form of
cash or checks from customers and tendered accurate change in accordance with company policies and
procedures. Bagged or packaged merchandise, stocked merchandise in assigned sections, performed all
front end duties according to company policies and procedures. Greeted all customers; provided them
with prompt and courteous service or assistance.
Data Entry Clerk October 1996-December 2008
Capital City Bank Tallahassee, Florida
Typed, verified and keyed in information from a variety of source documents into a data entry machine as
prescribed by established by policies and procedures. Operated data entry equipment, and entered
numerical bank transaction data. Maintained and operated Proof Deposit System. Processed and
balanced clearing share drafts. Maintained proof operating machine; processed outgoing adjustments for
Federal Reserve and local banks. Delivered share drafts to sorter room, processed checks for daily deposit
including encoding and balancing. Verified that checks received from members had restricted
endorsement, balanced data received from tellers and total checks. Received daily work envelopes;
balanced individual work to subtotal. Performed a variety of activities; necessary to assist the supervisor
in maintaining the financial statistical and accounting records of bank. Maintained and kept a working
knowledge of various accounting software programs. Verified quality of data entry and resolved
problems regarding the data. Interacted via phone with tellers at different branches in order to balance
office captures work.
Education
Diploma-Leon High School 1998 Tallahassee, Florida
Florida A&M University 1998-2002