Cashier / Teller functions
Provide service to your members by receiving deposits, loan payments, or paying out loans.
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How to Top Up Wakandi Business Account
WBA is a billing and payment method for the Wakandi system.
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Where can i view the reconcile report?
Wakandi allows you to view reconciliation reports from all of the tellers. 1. Log in to the Wakandi Admin Panel….
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How can I make a reverse repayment?
When a member makes a transaction by mistake, you can easily reverse it. 1. Log in to the Wakandi Admin…
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How do I view repayment details on the transactions page?
Wakandi allows you to view all repayment details on the transactions page. 1. Log in to the Wakandi Admin Panel….
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How can I enter cash depositor’s name?
Step-by-step guide on how to enter Cash Depositor’s Name. 1. Log in to the Wakandi Admin Panel. 2. Go to Transactions.3….
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How can I make General Ledger Transactions as a Teller?
Step-by-step guide on how to make General Ledger Transactions as a Teller. 1. Log in to the Wakandi Admin Panel….
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How do I reconcile the teller?
A step-by-step guide for tellers to reconcile their accounts at the end of the day
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Posting Expense Transaction
Any transaction that the Sacco makes to cover any expense is regarded as an expense and are termed as expense…
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Request approval
After the teller submits the Fund allotment request, an admin is required to review and approve it. This admin will…
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Fund allotment
As a teller, you can request funds from your accountant at the start of the day to help you get up and…
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How do I reconcile the Teller?
As an accountant, you have control over the daily cash requests from the teller. Do the following easy steps 1….
