Teller - Perry Hall
apgfcu · Nottingham, Maryland · United States · On-site
Pay: USD 35,400 – 56,600 a year
Posted Oct 6, 2026
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Where Banking Feels Like Belonging
At APGFCU, our values are at the heart of everything we do, empowering us as leaders in the credit union movement. We prioritize purpose and connection in how we serve our members, co-workers and communities - helping to navigate life's little and big moments.
SUMMARY : Under the general supervision of branch management, perform various teller duties involving receipt and payment of cash, identification of member needs and recommendation of appropriate credit union products and services to members. Provide a high quality of member service in a consistent, courteous and professional manner. Cross sell APGFCU products and services. Observe all safety and security policies, Teller Performance Standards and procedures.
ESSENTIAL DUTIES & RESPONSIBILITIES :
Daily Teller Duties: • Process a variety of member transactions accurately and efficiently in adherence to credit union policies and regulations such as cashing checks, processing deposits and withdrawals, bond redemption, loan payments, cash advances, transfers and issuing monetary instruments. Set up cash machines and supplies for daily operations.
• Professionally and courteously greet members and process member transactions in accordance with established credit union procedures and within cash and check authority limits.
• Enter member transactions into software applications and handle member transactions accurately and within defined limits of Teller Performance Standards to include: Performance expectations. Accuracy guidelines. Check and transaction authority limits.
• Accurately perform transactions and balance daily activities including: Verifying all work before disbursing to member and repeat transaction to member. Reviewing transaction data to avoid posting inaccurate transactions. Use system in and out cash calculator to record transactions. Communicating questions or problems experienced to supervisor in a timely manner. Adhering to operational policies and procedures.
• Perform teller and branch settlement activities including: Process night deposit transactions in accordance with established
procedures. Verify cash drawer, organize work and complete appropriate tracking logs. Reconcile fee and transaction entries and participate in branch end of day
settlement process.
Assist in ATM settlement.
• Protect member sensitive information and identify potential elder abuse, counterfeit bills, fraudulent checks and other scams.
Sales Expectations: • Develop and maintain current knowledge of credit union products and services and refer member to appropriate products, services, and/or credit union department or individual as appropriate for member interaction. • Meet performance expectations measured outlined in our Teller Performance Standards.
Other: • Perform other similar or related duties, as directed. • Must have a flexible schedule, be able to work Saturday hours and travel to other branch locations.
Additional: Responsible for…