Pick a scenario, run e2e validation
The validator launches a real browser against your target app, walks the steps, and captures screenshots / video / a Playwright trace. You mark each step pass / fail on the run page.
Day Open Ā· 4
TC-BR-PRE-001Branch Day Open ā May 20, 20253 steps
TC-BR-PRE-001Branch Day Open ā May 20, 2025- 1As Branch Manager, navigate to the branch open / start-of-day controls.
- 2Set the business date to May 20, 2025 and confirm vault opening positions.
- 3Verify the vault opening balances match the seeded May 20 dump (devdb/may20).
Run Configuration
TC-BR-PRE-002Open Cage ā Teller 1 (Beginning Balance ā±99,037.23)3 steps
TC-BR-PRE-002Open Cage ā Teller 1 (Beginning Balance ā±99,037.23)- 1As Teller 1, go to Tellering.
- 2Open the cage and request the seeded beginning balance of ā±99,037.23 (Vault-Digos ā Teller 1).
- 3Verify cage status flips to Open.
Run Configuration
TC-BR-PRE-003Open Cage ā Teller 2 (Beginning Balance ā±76,572.05)1 steps
TC-BR-PRE-003Open Cage ā Teller 2 (Beginning Balance ā±76,572.05)- 1As Teller 2, open the cage and request the seeded beginning balance of ā±76,572.05 (Vault-Digos ā Teller 2).
Run Configuration
TC-BR-PRE-004Open Cage ā Teller 3 (Beginning Balance ā±31,460.68)1 steps
TC-BR-PRE-004Open Cage ā Teller 3 (Beginning Balance ā±31,460.68)- 1As Teller 3, open the cage and request the seeded beginning balance of ā±31,460.68 (Vault-BLU ā Teller 3).
Run Configuration
Teller 1 Ā· 42
TC-BR-001Seq 001 Ā· CTVT (Request Additional Funds) Ā· ā±99,037.23 ā CASH BEG Vault-Digos -> Teller 15 steps
TC-BR-001Seq 001 Ā· CTVT (Request Additional Funds) Ā· ā±99,037.23 ā CASH BEG Vault-Digos -> Teller 1- 1As Teller 1, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±99,037.23 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-002Seq 002 Ā· CDEPC (Cash Deposit) Ā· ā±8,279.00 ā CFC GENERAL FUND5 steps
TC-BR-002Seq 002 Ā· CDEPC (Cash Deposit) Ā· ā±8,279.00 ā CFC GENERAL FUND- 1As Teller 1, press 1 ā Cash Deposit.
- 2Search for account
0112004957-12and verify it shows the correct customer (context: CFC GENERAL FUND). - 3Enter amount ā±8,279.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-003Seq 003 Ā· CDEPC (Cash Deposit) Ā· ā±6,179.25 ā CFC GENERAL FUND5 steps
TC-BR-003Seq 003 Ā· CDEPC (Cash Deposit) Ā· ā±6,179.25 ā CFC GENERAL FUND- 1As Teller 1, press 1 ā Cash Deposit.
- 2Search for account
0112004957-12and verify it shows the correct customer (context: CFC GENERAL FUND). - 3Enter amount ā±6,179.25 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-004Seq 004 Ā· CDEPC (Cash Deposit) Ā· ā±6,091.00 ā CFC DISTRICT TITHES5 steps
TC-BR-004Seq 004 Ā· CDEPC (Cash Deposit) Ā· ā±6,091.00 ā CFC DISTRICT TITHES- 1As Teller 1, press 1 ā Cash Deposit.
- 2Search for account
0112004965-12and verify it shows the correct customer (context: CFC DISTRICT TITHES). - 3Enter amount ā±6,091.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-005Seq 005 Ā· CTVT (Request Additional Funds) Ā· ā±100,000.00 ā Vault-Digos -> Teller5 steps
TC-BR-005Seq 005 Ā· CTVT (Request Additional Funds) Ā· ā±100,000.00 ā Vault-Digos -> Teller- 1As Teller 1, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±100,000.00 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-006Seq 006 Ā· CWD (Cash Withdrawal) Ā· ā±100,000.00 ā JAMOTILLO, ESTERLITA5 steps
TC-BR-006Seq 006 Ā· CWD (Cash Withdrawal) Ā· ā±100,000.00 ā JAMOTILLO, ESTERLITA- 1As Teller 1, press 1 ā Cash Withdrawal.
- 2Search for account
0110090511-10and verify it shows the correct customer (context: JAMOTILLO, ESTERLITA). - 3Enter amount ā±100,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-007Seq 007 Ā· INC (Inward Transaction) Ā· ā±4,173.00 ā FUENTES, RICHIE ECHAVEZ4 steps
TC-BR-007Seq 007 Ā· INC (Inward Transaction) Ā· ā±4,173.00 ā FUENTES, RICHIE ECHAVEZ- 1As Teller 1, press 2 ā Inward Transaction.
- 2Pick account
0140000845-40(FUENTES, RICHIE ECHAVEZ); enter check number, check date, amount ā±4,173.00, and a description. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-008Seq 008 Ā· INC (Inward Transaction) Ā· ā±20,005.00 ā REAL, RHOCKJUN AMASULA4 steps
TC-BR-008Seq 008 Ā· INC (Inward Transaction) Ā· ā±20,005.00 ā REAL, RHOCKJUN AMASULA- 1As Teller 1, press 2 ā Inward Transaction.
- 2Pick account
0140001298-40(REAL, RHOCKJUN AMASULA); enter check number, check date, amount ā±20,005.00, and a description. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-009Seq 009 Ā· DMout (Debit Memo Out (batch)) Ā· ā±20,005.00 ā INWARD CHECK - REAL, RHOCKJUN4 steps
TC-BR-009Seq 009 Ā· DMout (Debit Memo Out (batch)) Ā· ā±20,005.00 ā INWARD CHECK - REAL, RHOCKJUN- 1As Teller 1, click Debit Memo Out (F7).
- 2Filter by DEBIT MEMO and select the memo(s) totalling ā±20,005.00 ā context: INWARD CHECK - REAL, RHOCKJUN.
- 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-010Seq 010 Ā· DMout (Debit Memo Out (batch)) Ā· ā±4,173.00 ā INWARD CHECK - FUENTES, RICHIE4 steps
TC-BR-010Seq 010 Ā· DMout (Debit Memo Out (batch)) Ā· ā±4,173.00 ā INWARD CHECK - FUENTES, RICHIE- 1As Teller 1, click Debit Memo Out (F7).
- 2Filter by DEBIT MEMO and select the memo(s) totalling ā±4,173.00 ā context: INWARD CHECK - FUENTES, RICHIE.
- 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-011Seq 011 Ā· INC (Inward Transaction) Ā· ā±2,900,000.00 ā DE CASTRO, AQUILINO4 steps
TC-BR-011Seq 011 Ā· INC (Inward Transaction) Ā· ā±2,900,000.00 ā DE CASTRO, AQUILINO- 1As Teller 1, press 2 ā Inward Transaction.
- 2Pick account
0141000125-41(DE CASTRO, AQUILINO); enter check number, check date, amount ā±2,900,000.00, and a description. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-012Seq 012 Ā· DMout (Debit Memo Out (batch)) Ā· ā±2,900,000.00 ā INWARD CHECK - DE CASTRO4 steps
TC-BR-012Seq 012 Ā· DMout (Debit Memo Out (batch)) Ā· ā±2,900,000.00 ā INWARD CHECK - DE CASTRO- 1As Teller 1, click Debit Memo Out (F7).
- 2Filter by DEBIT MEMO and select the memo(s) totalling ā±2,900,000.00 ā context: INWARD CHECK - DE CASTRO.
- 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-013Seq 013 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±33,140.00 ā ESTRADA, GENALY5 steps
TC-BR-013Seq 013 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±33,140.00 ā ESTRADA, GENALY- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (ESTRADA, GENALY); pick the appropriate Transaction Code for Loan Payment (Check Clearing).
- 3Enter OR number and amount ā±33,140.00.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-014Seq 014 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±42,845.56 ā ESTRADA, GENALY5 steps
TC-BR-014Seq 014 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±42,845.56 ā ESTRADA, GENALY- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (ESTRADA, GENALY); pick the appropriate Transaction Code for Loan Payment (Check Clearing).
- 3Enter OR number and amount ā±42,845.56.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-015Seq 015 Ā· LPOUC (Loan Payment (On Us Check)) Ā· ā±65,802.30 ā MATA, KENNETH TAHIL5 steps
TC-BR-015Seq 015 Ā· LPOUC (Loan Payment (On Us Check)) Ā· ā±65,802.30 ā MATA, KENNETH TAHIL- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (MATA, KENNETH TAHIL); pick the appropriate Transaction Code for Loan Payment (On Us Check).
- 3Enter OR number and amount ā±65,802.30.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-016Seq 016 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±26,254.78 ā AGCANG, LORETO5 steps
TC-BR-016Seq 016 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±26,254.78 ā AGCANG, LORETO- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (AGCANG, LORETO); pick the appropriate Transaction Code for Loan Payment (Check Clearing).
- 3Enter OR number and amount ā±26,254.78.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-017Seq 017 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±116,000.00 ā ENGOC, MARILYN5 steps
TC-BR-017Seq 017 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±116,000.00 ā ENGOC, MARILYN- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (ENGOC, MARILYN); pick the appropriate Transaction Code for Loan Payment (Check Clearing).
- 3Enter OR number and amount ā±116,000.00.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-018Seq 018 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±144,765.00 ā ALLAGA, ALJON5 steps
TC-BR-018Seq 018 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±144,765.00 ā ALLAGA, ALJON- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (ALLAGA, ALJON); pick the appropriate Transaction Code for Loan Payment (Check Clearing).
- 3Enter OR number and amount ā±144,765.00.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-019Seq 019 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±49,002.00 ā GERVACIO, PRISCILA5 steps
TC-BR-019Seq 019 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±49,002.00 ā GERVACIO, PRISCILA- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (GERVACIO, PRISCILA); pick the appropriate Transaction Code for Loan Payment (Check Clearing).
- 3Enter OR number and amount ā±49,002.00.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-020Seq 020 Ā· CDEPC (Cash Deposit) Ā· ā±21,750.00 ā DIGOS CITY EMPLOYEES5 steps
TC-BR-020Seq 020 Ā· CDEPC (Cash Deposit) Ā· ā±21,750.00 ā DIGOS CITY EMPLOYEES- 1As Teller 1, press 1 ā Cash Deposit.
- 2Search for account
0111002259-11and verify it shows the correct customer (context: DIGOS CITY EMPLOYEES). - 3Enter amount ā±21,750.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-021Seq 021 Ā· CDEPC (Cash Deposit) Ā· ā±2,042.00 ā NINAL, ALAN5 steps
TC-BR-021Seq 021 Ā· CDEPC (Cash Deposit) Ā· ā±2,042.00 ā NINAL, ALAN- 1As Teller 1, press 1 ā Cash Deposit.
- 2Search for account
0110091329-10and verify it shows the correct customer (context: NINAL, ALAN). - 3Enter amount ā±2,042.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-022Seq 022 Ā· CDEPC (Cash Deposit) Ā· ā±3,840.00 ā NINAL, ALAN5 steps
TC-BR-022Seq 022 Ā· CDEPC (Cash Deposit) Ā· ā±3,840.00 ā NINAL, ALAN- 1As Teller 1, press 1 ā Cash Deposit.
- 2Search for account
0110091329-10and verify it shows the correct customer (context: NINAL, ALAN). - 3Enter amount ā±3,840.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-023Seq 023 Ā· CDEPC (Cash Deposit) Ā· ā±4,915.00 ā NINAL, ALAN5 steps
TC-BR-023Seq 023 Ā· CDEPC (Cash Deposit) Ā· ā±4,915.00 ā NINAL, ALAN- 1As Teller 1, press 1 ā Cash Deposit.
- 2Search for account
0110091329-10and verify it shows the correct customer (context: NINAL, ALAN). - 3Enter amount ā±4,915.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-024Seq 024 Ā· PSSC (Receipt Transaction) Ā· ā±2,000.00 ā FE LAUD PEDROSA4 steps
TC-BR-024Seq 024 Ā· PSSC (Receipt Transaction) Ā· ā±2,000.00 ā FE LAUD PEDROSA- 1As Teller 1, press 6 ā Receipt Transactions.
- 2Pick the relevant Transaction Code for Receipt Transaction; fill Received From with
FE LAUD PEDROSA; enter amount ā±2,000.00. - 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-025Seq 025 Ā· CDEPK (Local Check Deposit) Ā· ā±2,000.00 ā GERVACIO, PRISCILA4 steps
TC-BR-025Seq 025 Ā· CDEPK (Local Check Deposit) Ā· ā±2,000.00 ā GERVACIO, PRISCILA- 1As Teller 1, press 2 ā Local Check Deposit; choose Single mode.
- 2Pick destination account
0110072022-10(GERVACIO, PRISCILA); enter check details and amount ā±2,000.00. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-026Seq 026 Ā· CDEPK (Local Check Deposit) Ā· ā±5,375.44 ā ESTRADA, GENALYN4 steps
TC-BR-026Seq 026 Ā· CDEPK (Local Check Deposit) Ā· ā±5,375.44 ā ESTRADA, GENALYN- 1As Teller 1, press 2 ā Local Check Deposit; choose Single mode.
- 2Pick destination account
0110072618-10(ESTRADA, GENALYN); enter check details and amount ā±5,375.44. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-027Seq 027 Ā· CDEPK (Local Check Deposit) Ā· ā±688.84 ā AGCANG, LORETO4 steps
TC-BR-027Seq 027 Ā· CDEPK (Local Check Deposit) Ā· ā±688.84 ā AGCANG, LORETO- 1As Teller 1, press 2 ā Local Check Deposit; choose Single mode.
- 2Pick destination account
0110078656-10(AGCANG, LORETO); enter check details and amount ā±688.84. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-028Seq 028 Ā· CDEPK (Local Check Deposit) Ā· ā±10,000.00 ā ALLAGA, ALJON4 steps
TC-BR-028Seq 028 Ā· CDEPK (Local Check Deposit) Ā· ā±10,000.00 ā ALLAGA, ALJON- 1As Teller 1, press 2 ā Local Check Deposit; choose Single mode.
- 2Pick destination account
0110076379-10(ALLAGA, ALJON); enter check details and amount ā±10,000.00. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-029Seq 029 Ā· CTVT (Request Additional Funds) Ā· ā±7,000.00 ā Vault-Digos -> Teller5 steps
TC-BR-029Seq 029 Ā· CTVT (Request Additional Funds) Ā· ā±7,000.00 ā Vault-Digos -> Teller- 1As Teller 1, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±7,000.00 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-030Seq 030 Ā· CTCO (Check Transfer to Cash (Out)) Ā· ā±65,802.30 ā CHECK TRANSFER TO CASH3 steps
TC-BR-030Seq 030 Ā· CTCO (Check Transfer to Cash (Out)) Ā· ā±65,802.30 ā CHECK TRANSFER TO CASH- 1As Teller 1, perform a Check Transfer to Cash (Out) for ā±65,802.30: select the relevant on-hand checks for context CHECK TRANSFER TO CASH.
- 2Click Add to Queue; wait for auto-pull.
- 3Click Post Transaction; Print Validation.
Run Configuration
TC-BR-031Seq 031 Ā· DBM (Debit Memo Account) Ā· ā±2,500.00 ā MATA, KENNETH TAHIL4 steps
TC-BR-031Seq 031 Ā· DBM (Debit Memo Account) Ā· ā±2,500.00 ā MATA, KENNETH TAHIL- 1As Teller 1, press 5 ā Debit Memo Account.
- 2Pick account
0140000753; supply the Transaction Code and description (MATA, KENNETH TAHIL); enter amount ā±2,500.00. - 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-032Seq 032 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±32,901.15 ā POLO SAMAHANG5 steps
TC-BR-032Seq 032 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±32,901.15 ā POLO SAMAHANG- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (POLO SAMAHANG); pick the appropriate Transaction Code for Loan Payment (Check Clearing).
- 3Enter OR number and amount ā±32,901.15.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-033Seq 033 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±33,969.18 ā GUARDADOS Jr.5 steps
TC-BR-033Seq 033 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±33,969.18 ā GUARDADOS Jr.- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (GUARDADOS Jr.); pick the appropriate Transaction Code for Loan Payment (Check Clearing).
- 3Enter OR number and amount ā±33,969.18.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-034Seq 034 Ā· LPOUC (Loan Payment (On Us Check)) Ā· ā±756,712.85 ā ACLA Jr., CECILIO ATUEL5 steps
TC-BR-034Seq 034 Ā· LPOUC (Loan Payment (On Us Check)) Ā· ā±756,712.85 ā ACLA Jr., CECILIO ATUEL- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (ACLA Jr., CECILIO ATUEL); pick the appropriate Transaction Code for Loan Payment (On Us Check).
- 3Enter OR number and amount ā±756,712.85.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-035Seq 035 Ā· CTCO (Check Transfer to Cash (Out)) Ā· ā±756,712.85 ā CHECK TRANSFER TO CASH3 steps
TC-BR-035Seq 035 Ā· CTCO (Check Transfer to Cash (Out)) Ā· ā±756,712.85 ā CHECK TRANSFER TO CASH- 1As Teller 1, perform a Check Transfer to Cash (Out) for ā±756,712.85: select the relevant on-hand checks for context CHECK TRANSFER TO CASH.
- 2Click Add to Queue; wait for auto-pull.
- 3Click Post Transaction; Print Validation.
Run Configuration
TC-BR-036Seq 036 Ā· DMout (Debit Memo Out (batch)) Ā· ā±2,500.00 ā MATA, KENNETH TAHIL4 steps
TC-BR-036Seq 036 Ā· DMout (Debit Memo Out (batch)) Ā· ā±2,500.00 ā MATA, KENNETH TAHIL- 1As Teller 1, click Debit Memo Out (F7).
- 2Filter by DEBIT MEMO and select the memo(s) totalling ā±2,500.00 ā context: MATA, KENNETH TAHIL.
- 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-037Seq 037 Ā· CKTT (Check Transfer (Inbound)) Ā· ā±101,599.63 ā CHECK TRANSFER FROM CASH4 steps
TC-BR-037Seq 037 Ā· CKTT (Check Transfer (Inbound)) Ā· ā±101,599.63 ā CHECK TRANSFER FROM CASH- 1As Teller 1, click Check Transfer (F5).
- 2Select the on-hand checks totalling ā±101,599.63.
- 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction; the Cashier acknowledges receipt.
Run Configuration
TC-BR-038Seq 038 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±410,695.04 ā ADVENTURERS MULTI-PURPOSE5 steps
TC-BR-038Seq 038 Ā· CCLRLP (Loan Payment (Check Clearing)) Ā· ā±410,695.04 ā ADVENTURERS MULTI-PURPOSE- 1As Teller 1, press 4 ā Loan Payment.
- 2Select the borrower's loan (ADVENTURERS MULTI-PURPOSE); pick the appropriate Transaction Code for Loan Payment (Check Clearing).
- 3Enter OR number and amount ā±410,695.04.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-039Seq 039 Ā· CKDDB (DFOB Check Out) Ā· ā±628,294.67 ā CHECK OUT ->DFOB - Rizal Commercial4 steps
TC-BR-039Seq 039 Ā· CKDDB (DFOB Check Out) Ā· ā±628,294.67 ā CHECK OUT ->DFOB - Rizal Commercial- 1As Teller 1, initiate a DFOB Check Out for ā±628,294.67 (context: CHECK OUT ->DFOB - Rizal Commercial).
- 2Use the appropriate Transaction Code so the GL hits the correct DFOB account (Security Bank / RCBC / BDO / Land Bank).
- 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-040Seq 040 Ā· CKDDB (DFOB Check Out) Ā· ā±380,941.95 ā CHECK OUT ->DFOB - Security Bank4 steps
TC-BR-040Seq 040 Ā· CKDDB (DFOB Check Out) Ā· ā±380,941.95 ā CHECK OUT ->DFOB - Security Bank- 1As Teller 1, initiate a DFOB Check Out for ā±380,941.95 (context: CHECK OUT ->DFOB - Security Bank).
- 2Use the appropriate Transaction Code so the GL hits the correct DFOB account (Security Bank / RCBC / BDO / Land Bank).
- 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-041Seq 041 Ā· CTTTV (Transfer to Vault) Ā· ā±75,000.00 ā Teller -> Vault-Digos4 steps
TC-BR-041Seq 041 Ā· CTTTV (Transfer to Vault) Ā· ā±75,000.00 ā Teller -> Vault-Digos- 1As Teller 1, click Transfer to Vault (F4); enter amount ā±75,000.00 and denomination.
- 2Click Add to Queue; wait for the auto-pull.
- 3Click Post Transaction; have the Cashier accept on the vault side.
- 4Print Validation.
Run Configuration
TC-BR-042Seq 042 Ā· CTTTV (Transfer to Vault) Ā· ā±86,133.48 ā Teller -> Vault-Digos (final)4 steps
TC-BR-042Seq 042 Ā· CTTTV (Transfer to Vault) Ā· ā±86,133.48 ā Teller -> Vault-Digos (final)- 1As Teller 1, click Transfer to Vault (F4); enter amount ā±86,133.48 and denomination.
- 2Click Add to Queue; wait for the auto-pull.
- 3Click Post Transaction; have the Cashier accept on the vault side.
- 4Print Validation.
Run Configuration
Teller 2 Ā· 67
TC-BR-043Seq 043 Ā· CTVT (Request Additional Funds) Ā· ā±76,572.05 ā CASH BEG Vault-Digos -> Teller 25 steps
TC-BR-043Seq 043 Ā· CTVT (Request Additional Funds) Ā· ā±76,572.05 ā CASH BEG Vault-Digos -> Teller 2- 1As Teller 2, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±76,572.05 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-044Seq 044 Ā· LPAYC (Loan Payment (Cash)) Ā· ā±7,615.00 ā LARAGA, ARLYN JAIN5 steps
TC-BR-044Seq 044 Ā· LPAYC (Loan Payment (Cash)) Ā· ā±7,615.00 ā LARAGA, ARLYN JAIN- 1As Teller 2, press 4 ā Loan Payment.
- 2Select the borrower's loan (LARAGA, ARLYN JAIN); pick the appropriate Transaction Code for Loan Payment (Cash).
- 3Enter OR number and amount ā±7,615.00.
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply denomination if cash; Print Validation.
Run Configuration
TC-BR-045Seq 045 Ā· SCBC (Stamp / Booklet Charge) Ā· ā±100.00 ā FERNANDEZ, EDGAR4 steps
TC-BR-045Seq 045 Ā· SCBC (Stamp / Booklet Charge) Ā· ā±100.00 ā FERNANDEZ, EDGAR- 1As Teller 2, press 6 ā Payment Transactions.
- 2Pick the relevant Transaction Code for Stamp / Booklet Charge; fill Paid To with
FERNANDEZ, EDGAR; enter amount ā±100.00. - 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-046Seq 046 Ā· SCBC (Stamp / Booklet Charge) Ā· ā±100.00 ā FERNANDEZ, CHRISTOPHER4 steps
TC-BR-046Seq 046 Ā· SCBC (Stamp / Booklet Charge) Ā· ā±100.00 ā FERNANDEZ, CHRISTOPHER- 1As Teller 2, press 6 ā Payment Transactions.
- 2Pick the relevant Transaction Code for Stamp / Booklet Charge; fill Paid To with
FERNANDEZ, CHRISTOPHER; enter amount ā±100.00. - 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-047Seq 047 Ā· DBM (Debit Memo Account) Ā· ā±1,500.00 ā COMAHIG, GEZAMAY BASIS4 steps
TC-BR-047Seq 047 Ā· DBM (Debit Memo Account) Ā· ā±1,500.00 ā COMAHIG, GEZAMAY BASIS- 1As Teller 2, press 5 ā Debit Memo Account.
- 2Pick account
0140001215; supply the Transaction Code and description (COMAHIG, GEZAMAY BASIS); enter amount ā±1,500.00. - 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-048Seq 048 Ā· DMout (Debit Memo Out (batch)) Ā· ā±1,500.00 ā COMAHIG, GEZAMAY4 steps
TC-BR-048Seq 048 Ā· DMout (Debit Memo Out (batch)) Ā· ā±1,500.00 ā COMAHIG, GEZAMAY- 1As Teller 2, click Debit Memo Out (F7).
- 2Filter by DEBIT MEMO and select the memo(s) totalling ā±1,500.00 ā context: COMAHIG, GEZAMAY.
- 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-049Seq 049 Ā· DBM (Debit Memo Account) Ā· ā±2,500,000.00 ā FICCO4 steps
TC-BR-049Seq 049 Ā· DBM (Debit Memo Account) Ā· ā±2,500,000.00 ā FICCO- 1As Teller 2, press 5 ā Debit Memo Account.
- 2Pick account
0111001376; supply the Transaction Code and description (FICCO); enter amount ā±2,500,000.00. - 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-050Seq 050 Ā· DMout (Debit Memo Out (batch)) Ā· ā±2,500,000.00 ā FICCO4 steps
TC-BR-050Seq 050 Ā· DMout (Debit Memo Out (batch)) Ā· ā±2,500,000.00 ā FICCO- 1As Teller 2, click Debit Memo Out (F7).
- 2Filter by DEBIT MEMO and select the memo(s) totalling ā±2,500,000.00 ā context: FICCO.
- 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-051Seq 051 Ā· CTVT (Request Additional Funds) Ā· ā±200,000.00 ā Vault-Digos -> Teller5 steps
TC-BR-051Seq 051 Ā· CTVT (Request Additional Funds) Ā· ā±200,000.00 ā Vault-Digos -> Teller- 1As Teller 2, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±200,000.00 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-052Seq 052 Ā· CWD (Cash Withdrawal) Ā· ā±200,000.00 ā FICCO5 steps
TC-BR-052Seq 052 Ā· CWD (Cash Withdrawal) Ā· ā±200,000.00 ā FICCO- 1As Teller 2, press 1 ā Cash Withdrawal.
- 2Search for account
0111001376-11and verify it shows the correct customer (context: FICCO). - 3Enter amount ā±200,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-053Seq 053 Ā· CDEPC (Cash Deposit) Ā· ā±8,000.00 ā GALARAGA, TARA FONSECA5 steps
TC-BR-053Seq 053 Ā· CDEPC (Cash Deposit) Ā· ā±8,000.00 ā GALARAGA, TARA FONSECA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110072576-10and verify it shows the correct customer (context: GALARAGA, TARA FONSECA). - 3Enter amount ā±8,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-054Seq 054 Ā· CWD (Cash Withdrawal) Ā· ā±8,000.00 ā GALARAGA, TARA FONSECA5 steps
TC-BR-054Seq 054 Ā· CWD (Cash Withdrawal) Ā· ā±8,000.00 ā GALARAGA, TARA FONSECA- 1As Teller 2, press 1 ā Cash Withdrawal.
- 2Search for account
0110072576-10and verify it shows the correct customer (context: GALARAGA, TARA FONSECA). - 3Enter amount ā±8,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-055Seq 055 Ā· CDEPC (Cash Deposit) Ā· ā±200,000.00 ā FICCO5 steps
TC-BR-055Seq 055 Ā· CDEPC (Cash Deposit) Ā· ā±200,000.00 ā FICCO- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001376-11and verify it shows the correct customer (context: FICCO). - 3Enter amount ā±200,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-056Seq 056 Ā· CWD (Cash Withdrawal) Ā· ā±200,000.00 ā FICCO5 steps
TC-BR-056Seq 056 Ā· CWD (Cash Withdrawal) Ā· ā±200,000.00 ā FICCO- 1As Teller 2, press 1 ā Cash Withdrawal.
- 2Search for account
0111001376-11and verify it shows the correct customer (context: FICCO). - 3Enter amount ā±200,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-057Seq 057 Ā· CDEPC (Cash Deposit) Ā· ā±100,000.00 ā ALCOBA, EVA LEAH5 steps
TC-BR-057Seq 057 Ā· CDEPC (Cash Deposit) Ā· ā±100,000.00 ā ALCOBA, EVA LEAH- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110089430-10and verify it shows the correct customer (context: ALCOBA, EVA LEAH). - 3Enter amount ā±100,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-058Seq 058 Ā· CDEPC (Cash Deposit) Ā· ā±86,102.00 ā FICCO5 steps
TC-BR-058Seq 058 Ā· CDEPC (Cash Deposit) Ā· ā±86,102.00 ā FICCO- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001376-11and verify it shows the correct customer (context: FICCO). - 3Enter amount ā±86,102.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-059Seq 059 Ā· CDEPK (Local Check Deposit) Ā· ā±113,332.06 ā FICCO4 steps
TC-BR-059Seq 059 Ā· CDEPK (Local Check Deposit) Ā· ā±113,332.06 ā FICCO- 1As Teller 2, press 2 ā Local Check Deposit; choose Single mode.
- 2Pick destination account
0111001376-11(FICCO); enter check details and amount ā±113,332.06. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-060Seq 060 Ā· CWD (Cash Withdrawal) Ā· ā±125,000.00 ā LUARDO, ISIDRO DATU5 steps
TC-BR-060Seq 060 Ā· CWD (Cash Withdrawal) Ā· ā±125,000.00 ā LUARDO, ISIDRO DATU- 1As Teller 2, press 1 ā Cash Withdrawal.
- 2Search for account
0110052974-10and verify it shows the correct customer (context: LUARDO, ISIDRO DATU). - 3Enter amount ā±125,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-061Seq 061 Ā· CTVT (Request Additional Funds) Ā· ā±15,000.00 ā Vault-Digos -> Teller5 steps
TC-BR-061Seq 061 Ā· CTVT (Request Additional Funds) Ā· ā±15,000.00 ā Vault-Digos -> Teller- 1As Teller 2, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±15,000.00 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-062Seq 062 Ā· CDEPC (Cash Deposit) Ā· ā±9,000.00 ā GUYA, JANETH5 steps
TC-BR-062Seq 062 Ā· CDEPC (Cash Deposit) Ā· ā±9,000.00 ā GUYA, JANETH- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0140001355-40and verify it shows the correct customer (context: GUYA, JANETH). - 3Enter amount ā±9,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-063Seq 063 Ā· CDEPC (Cash Deposit) Ā· ā±200.00 ā LINO, ARNOLD5 steps
TC-BR-063Seq 063 Ā· CDEPC (Cash Deposit) Ā· ā±200.00 ā LINO, ARNOLD- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110089513-10and verify it shows the correct customer (context: LINO, ARNOLD). - 3Enter amount ā±200.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-064Seq 064 Ā· CDEPC (Cash Deposit) Ā· ā±197,450.00 ā SAN AGUSTIN DAVSUR5 steps
TC-BR-064Seq 064 Ā· CDEPC (Cash Deposit) Ā· ā±197,450.00 ā SAN AGUSTIN DAVSUR- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001442-11and verify it shows the correct customer (context: SAN AGUSTIN DAVSUR). - 3Enter amount ā±197,450.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-065Seq 065 Ā· CWD (Cash Withdrawal) Ā· ā±40,000.00 ā GALAGATE, MONALIZA5 steps
TC-BR-065Seq 065 Ā· CWD (Cash Withdrawal) Ā· ā±40,000.00 ā GALAGATE, MONALIZA- 1As Teller 2, press 1 ā Cash Withdrawal.
- 2Search for account
0110085313-10and verify it shows the correct customer (context: GALAGATE, MONALIZA). - 3Enter amount ā±40,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-066Seq 066 Ā· CDEPC (Cash Deposit) Ā· ā±6,100.00 ā DIGOS CITY EMPLOYEES5 steps
TC-BR-066Seq 066 Ā· CDEPC (Cash Deposit) Ā· ā±6,100.00 ā DIGOS CITY EMPLOYEES- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111002259-11and verify it shows the correct customer (context: DIGOS CITY EMPLOYEES). - 3Enter amount ā±6,100.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-067Seq 067 Ā· CWD (Cash Withdrawal) Ā· ā±7,000.00 ā PALOMO, NOREEN5 steps
TC-BR-067Seq 067 Ā· CWD (Cash Withdrawal) Ā· ā±7,000.00 ā PALOMO, NOREEN- 1As Teller 2, press 1 ā Cash Withdrawal.
- 2Search for account
0110081338-10and verify it shows the correct customer (context: PALOMO, NOREEN). - 3Enter amount ā±7,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-068Seq 068 Ā· CDEPC (Cash Deposit) Ā· ā±42,000.00 ā ENTERO, OJELA MAE5 steps
TC-BR-068Seq 068 Ā· CDEPC (Cash Deposit) Ā· ā±42,000.00 ā ENTERO, OJELA MAE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110049566-10and verify it shows the correct customer (context: ENTERO, OJELA MAE). - 3Enter amount ā±42,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-069Seq 069 Ā· CDEPC (Cash Deposit) Ā· ā±35,000.00 ā ENTERO, OJELA MAE5 steps
TC-BR-069Seq 069 Ā· CDEPC (Cash Deposit) Ā· ā±35,000.00 ā ENTERO, OJELA MAE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110049566-10and verify it shows the correct customer (context: ENTERO, OJELA MAE). - 3Enter amount ā±35,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-070Seq 070 Ā· CDEPC (Cash Deposit) Ā· ā±5,000.00 ā MILLENNIUM MULTI-PURPOSE5 steps
TC-BR-070Seq 070 Ā· CDEPC (Cash Deposit) Ā· ā±5,000.00 ā MILLENNIUM MULTI-PURPOSE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001632-11and verify it shows the correct customer (context: MILLENNIUM MULTI-PURPOSE). - 3Enter amount ā±5,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-071Seq 071 Ā· CDEPC (Cash Deposit) Ā· ā±2,262.00 ā MILLENNIUM MULTI-PURPOSE5 steps
TC-BR-071Seq 071 Ā· CDEPC (Cash Deposit) Ā· ā±2,262.00 ā MILLENNIUM MULTI-PURPOSE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001632-11and verify it shows the correct customer (context: MILLENNIUM MULTI-PURPOSE). - 3Enter amount ā±2,262.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-072Seq 072 Ā· CDEPC (Cash Deposit) Ā· ā±5,000.00 ā MILLENNIUM MULTI-PURPOSE5 steps
TC-BR-072Seq 072 Ā· CDEPC (Cash Deposit) Ā· ā±5,000.00 ā MILLENNIUM MULTI-PURPOSE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001632-11and verify it shows the correct customer (context: MILLENNIUM MULTI-PURPOSE). - 3Enter amount ā±5,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-073Seq 073 Ā· CDEPC (Cash Deposit) Ā· ā±1,500.00 ā MILLENNIUM MULTI-PURPOSE5 steps
TC-BR-073Seq 073 Ā· CDEPC (Cash Deposit) Ā· ā±1,500.00 ā MILLENNIUM MULTI-PURPOSE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001632-11and verify it shows the correct customer (context: MILLENNIUM MULTI-PURPOSE). - 3Enter amount ā±1,500.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-074Seq 074 Ā· CDEPC (Cash Deposit) Ā· ā±200.00 ā MILLENNIUM MULTI-PURPOSE5 steps
TC-BR-074Seq 074 Ā· CDEPC (Cash Deposit) Ā· ā±200.00 ā MILLENNIUM MULTI-PURPOSE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001897-11and verify it shows the correct customer (context: MILLENNIUM MULTI-PURPOSE). - 3Enter amount ā±200.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-075Seq 075 Ā· TDPC (Placement (by Check)) Ā· ā±1,000,000.00 ā LAUD, FE PEDROSO4 steps
TC-BR-075Seq 075 Ā· TDPC (Placement (by Check)) Ā· ā±1,000,000.00 ā LAUD, FE PEDROSO- 1As Teller 2, press 3 ā Funding On Us Check (or Funding Local Check per source).
- 2Pick TD account
017000005235(LAUD, FE PEDROSO); enter amount ā±1,000,000.00, check details. - 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-076Seq 076 Ā· CDEPK (Local Check Deposit) Ā· ā±13,860,000.00 ā DE CASTRO, AQUILINO4 steps
TC-BR-076Seq 076 Ā· CDEPK (Local Check Deposit) Ā· ā±13,860,000.00 ā DE CASTRO, AQUILINO- 1As Teller 2, press 2 ā Local Check Deposit; choose Single mode.
- 2Pick destination account
0110074119-10(DE CASTRO, AQUILINO); enter check details and amount ā±13,860,000.00. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-077Seq 077 Ā· CDEPK (Local Check Deposit) Ā· ā±13,860,000.00 ā DE CASTRO, AQUILINO4 steps
TC-BR-077Seq 077 Ā· CDEPK (Local Check Deposit) Ā· ā±13,860,000.00 ā DE CASTRO, AQUILINO- 1As Teller 2, press 2 ā Local Check Deposit; choose Single mode.
- 2Pick destination account
0110074119-10(DE CASTRO, AQUILINO); enter check details and amount ā±13,860,000.00. - 3Click Add to Queue; wait for the auto-pull.
- 4Click Post Transaction and Print Validation.
Run Configuration
TC-BR-078Seq 078 Ā· CTVT (Request Additional Funds) Ā· ā±500,000.00 ā Vault-Digos -> Teller5 steps
TC-BR-078Seq 078 Ā· CTVT (Request Additional Funds) Ā· ā±500,000.00 ā Vault-Digos -> Teller- 1As Teller 2, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±500,000.00 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-079Seq 079 Ā· CWD (Cash Withdrawal) Ā· ā±500,000.00 ā DE CASTRO, AQUILINO5 steps
TC-BR-079Seq 079 Ā· CWD (Cash Withdrawal) Ā· ā±500,000.00 ā DE CASTRO, AQUILINO- 1As Teller 2, press 1 ā Cash Withdrawal.
- 2Search for account
0110074119-10and verify it shows the correct customer (context: DE CASTRO, AQUILINO). - 3Enter amount ā±500,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-080Seq 080 Ā· CDEPC (Cash Deposit) Ā· ā±40,389.00 ā DAVAO DEL SUR ELECTRIC5 steps
TC-BR-080Seq 080 Ā· CDEPC (Cash Deposit) Ā· ā±40,389.00 ā DAVAO DEL SUR ELECTRIC- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001475-11and verify it shows the correct customer (context: DAVAO DEL SUR ELECTRIC). - 3Enter amount ā±40,389.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-081Seq 081 Ā· CWD (Cash Withdrawal) Ā· ā±10,000.00 ā ONEZ, MEDELYN5 steps
TC-BR-081Seq 081 Ā· CWD (Cash Withdrawal) Ā· ā±10,000.00 ā ONEZ, MEDELYN- 1As Teller 2, press 1 ā Cash Withdrawal.
- 2Search for account
0110072048-10and verify it shows the correct customer (context: ONEZ, MEDELYN). - 3Enter amount ā±10,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-082Seq 082 Ā· CDEPC (Cash Deposit) Ā· ā±10,000.00 ā OLAYAN, RONELIA5 steps
TC-BR-082Seq 082 Ā· CDEPC (Cash Deposit) Ā· ā±10,000.00 ā OLAYAN, RONELIA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110051943-10and verify it shows the correct customer (context: OLAYAN, RONELIA). - 3Enter amount ā±10,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-083Seq 083 Ā· CDEPC (Cash Deposit) Ā· ā±50,000.00 ā COMAHIG, GEZAMAY5 steps
TC-BR-083Seq 083 Ā· CDEPC (Cash Deposit) Ā· ā±50,000.00 ā COMAHIG, GEZAMAY- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0140001215-40and verify it shows the correct customer (context: COMAHIG, GEZAMAY). - 3Enter amount ā±50,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-084Seq 084 Ā· CDEPC (Cash Deposit) Ā· ā±500,000.00 ā FICCO5 steps
TC-BR-084Seq 084 Ā· CDEPC (Cash Deposit) Ā· ā±500,000.00 ā FICCO- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0111001376-11and verify it shows the correct customer (context: FICCO). - 3Enter amount ā±500,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-085Seq 085 Ā· CDEPC (Cash Deposit) Ā· ā±19,000.00 ā PENAS, RODILLA5 steps
TC-BR-085Seq 085 Ā· CDEPC (Cash Deposit) Ā· ā±19,000.00 ā PENAS, RODILLA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110058468-10and verify it shows the correct customer (context: PENAS, RODILLA). - 3Enter amount ā±19,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-086Seq 086 Ā· CDEPC (Cash Deposit) Ā· ā±24,000.00 ā LUMEN, MARY ANN5 steps
TC-BR-086Seq 086 Ā· CDEPC (Cash Deposit) Ā· ā±24,000.00 ā LUMEN, MARY ANN- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110086105-10and verify it shows the correct customer (context: LUMEN, MARY ANN). - 3Enter amount ā±24,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-087Seq 087 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā SOSMENA, MATTEO5 steps
TC-BR-087Seq 087 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā SOSMENA, MATTEO- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0113001010-13and verify it shows the correct customer (context: SOSMENA, MATTEO). - 3Enter amount ā±1,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-088Seq 088 Ā· CDEPC (Cash Deposit) Ā· ā±8,400.00 ā OCHEA, LEONISA5 steps
TC-BR-088Seq 088 Ā· CDEPC (Cash Deposit) Ā· ā±8,400.00 ā OCHEA, LEONISA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110070141-10and verify it shows the correct customer (context: OCHEA, LEONISA). - 3Enter amount ā±8,400.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-089Seq 089 Ā· CDEPC (Cash Deposit) Ā· ā±1,200.00 ā CUATON, HYJANE5 steps
TC-BR-089Seq 089 Ā· CDEPC (Cash Deposit) Ā· ā±1,200.00 ā CUATON, HYJANE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110072568-10and verify it shows the correct customer (context: CUATON, HYJANE). - 3Enter amount ā±1,200.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-090Seq 090 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā GRANDE, DONESSA5 steps
TC-BR-090Seq 090 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā GRANDE, DONESSA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110089448-10and verify it shows the correct customer (context: GRANDE, DONESSA). - 3Enter amount ā±1,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-091Seq 091 Ā· CDEPC (Cash Deposit) Ā· ā±500.00 ā IMPAS, GRACE MAE5 steps
TC-BR-091Seq 091 Ā· CDEPC (Cash Deposit) Ā· ā±500.00 ā IMPAS, GRACE MAE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110080223-10and verify it shows the correct customer (context: IMPAS, GRACE MAE). - 3Enter amount ā±500.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-092Seq 092 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā IMPAS, LOLITA5 steps
TC-BR-092Seq 092 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā IMPAS, LOLITA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110072949-10and verify it shows the correct customer (context: IMPAS, LOLITA). - 3Enter amount ā±1,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-093Seq 093 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā DIONALDO, MARLINA5 steps
TC-BR-093Seq 093 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā DIONALDO, MARLINA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110084472-10and verify it shows the correct customer (context: DIONALDO, MARLINA). - 3Enter amount ā±1,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-094Seq 094 Ā· CDEPC (Cash Deposit) Ā· ā±2,573.00 ā DE CHAVEZ, BONNIE5 steps
TC-BR-094Seq 094 Ā· CDEPC (Cash Deposit) Ā· ā±2,573.00 ā DE CHAVEZ, BONNIE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110089695-10and verify it shows the correct customer (context: DE CHAVEZ, BONNIE). - 3Enter amount ā±2,573.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-095Seq 095 Ā· CDEPC (Cash Deposit) Ā· ā±4,500.00 ā CATULONG, EMMYLORD5 steps
TC-BR-095Seq 095 Ā· CDEPC (Cash Deposit) Ā· ā±4,500.00 ā CATULONG, EMMYLORD- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110090289-10and verify it shows the correct customer (context: CATULONG, EMMYLORD). - 3Enter amount ā±4,500.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-096Seq 096 Ā· CDEPC (Cash Deposit) Ā· ā±4,000.00 ā JAMOTILLO, ESTERLITA5 steps
TC-BR-096Seq 096 Ā· CDEPC (Cash Deposit) Ā· ā±4,000.00 ā JAMOTILLO, ESTERLITA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110090511-10and verify it shows the correct customer (context: JAMOTILLO, ESTERLITA). - 3Enter amount ā±4,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-097Seq 097 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā JAMOTILLO, ESTERLITA5 steps
TC-BR-097Seq 097 Ā· CDEPC (Cash Deposit) Ā· ā±1,000.00 ā JAMOTILLO, ESTERLITA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110048337-10and verify it shows the correct customer (context: JAMOTILLO, ESTERLITA). - 3Enter amount ā±1,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-098Seq 098 Ā· CDEPC (Cash Deposit) Ā· ā±3,700.00 ā MARQUEZ, HYACINTH JOY5 steps
TC-BR-098Seq 098 Ā· CDEPC (Cash Deposit) Ā· ā±3,700.00 ā MARQUEZ, HYACINTH JOY- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110074903-10and verify it shows the correct customer (context: MARQUEZ, HYACINTH JOY). - 3Enter amount ā±3,700.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-099Seq 099 Ā· CDEPC (Cash Deposit) Ā· ā±11,500.00 ā JAMOTILLO, BEA ALYSSA5 steps
TC-BR-099Seq 099 Ā· CDEPC (Cash Deposit) Ā· ā±11,500.00 ā JAMOTILLO, BEA ALYSSA- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0110091279-10and verify it shows the correct customer (context: JAMOTILLO, BEA ALYSSA). - 3Enter amount ā±11,500.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-100Seq 100 Ā· CDEPC (Cash Deposit) Ā· ā±100.00 ā JAMOTILLO, XADRIAN5 steps
TC-BR-100Seq 100 Ā· CDEPC (Cash Deposit) Ā· ā±100.00 ā JAMOTILLO, XADRIAN- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0113000897-13and verify it shows the correct customer (context: JAMOTILLO, XADRIAN). - 3Enter amount ā±100.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-101Seq 101 Ā· CDEPC (Cash Deposit) Ā· ā±100.00 ā JAMOTILLO, XIAN KYLE5 steps
TC-BR-101Seq 101 Ā· CDEPC (Cash Deposit) Ā· ā±100.00 ā JAMOTILLO, XIAN KYLE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0113000871-13and verify it shows the correct customer (context: JAMOTILLO, XIAN KYLE). - 3Enter amount ā±100.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-102Seq 102 Ā· CDEPC (Cash Deposit) Ā· ā±11,000.00 ā SILVA, ANA ROSE5 steps
TC-BR-102Seq 102 Ā· CDEPC (Cash Deposit) Ā· ā±11,000.00 ā SILVA, ANA ROSE- 1As Teller 2, press 1 ā Cash Deposit.
- 2Search for account
0140001173-40and verify it shows the correct customer (context: SILVA, ANA ROSE). - 3Enter amount ā±11,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-103Seq 103 Ā· CTDB (Check Transfer to Cash (TD)) Ā· ā±1,000,000.00 ā CHECK TRANSFER TO CASH (TD)3 steps
TC-BR-103Seq 103 Ā· CTDB (Check Transfer to Cash (TD)) Ā· ā±1,000,000.00 ā CHECK TRANSFER TO CASH (TD)- 1As Teller 2, perform a Check Transfer to Cash (TD) for ā±1,000,000.00: select the relevant on-hand checks for context CHECK TRANSFER TO CASH (TD).
- 2Click Add to Queue; wait for auto-pull.
- 3Click Post Transaction; Print Validation.
Run Configuration
TC-BR-104Seq 104 Ā· CTPC (Check Transfer to Cash (PCHC)) Ā· ā±113,332.06 ā CHECK TRANSFER TO CASH (PCHC)3 steps
TC-BR-104Seq 104 Ā· CTPC (Check Transfer to Cash (PCHC)) Ā· ā±113,332.06 ā CHECK TRANSFER TO CASH (PCHC)- 1As Teller 2, perform a Check Transfer to Cash (PCHC) for ā±113,332.06: select the relevant on-hand checks for context CHECK TRANSFER TO CASH (PCHC).
- 2Click Add to Queue; wait for auto-pull.
- 3Click Post Transaction; Print Validation.
Run Configuration
TC-BR-105Seq 105 Ā· POSC (Payment Transaction (POS)) Ā· ā±8,030.00 ā MISCELLANEOUS PAYMENT4 steps
TC-BR-105Seq 105 Ā· POSC (Payment Transaction (POS)) Ā· ā±8,030.00 ā MISCELLANEOUS PAYMENT- 1As Teller 2, press 6 ā Payment Transactions.
- 2Pick the relevant Transaction Code for Payment Transaction (POS); fill Paid To with
MISCELLANEOUS PAYMENT; enter amount ā±8,030.00. - 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-106Seq 106 Ā· FEEC (Payment Transaction (Fee)) Ā· ā±30.00 ā POS FEE4 steps
TC-BR-106Seq 106 Ā· FEEC (Payment Transaction (Fee)) Ā· ā±30.00 ā POS FEE- 1As Teller 2, press 6 ā Payment Transactions.
- 2Pick the relevant Transaction Code for Payment Transaction (Fee); fill Paid To with
POS FEE; enter amount ā±30.00. - 3Click Add to Queue; wait for auto-pull.
- 4Click Post Transaction; Print Validation.
Run Configuration
TC-BR-107Seq 107 Ā· CTDB (Check Transfer to Cash (TD)) Ā· ā±27,720,000.00 ā CHECK TRANSFER TO CASH3 steps
TC-BR-107Seq 107 Ā· CTDB (Check Transfer to Cash (TD)) Ā· ā±27,720,000.00 ā CHECK TRANSFER TO CASH- 1As Teller 2, perform a Check Transfer to Cash (TD) for ā±27,720,000.00: select the relevant on-hand checks for context CHECK TRANSFER TO CASH.
- 2Click Add to Queue; wait for auto-pull.
- 3Click Post Transaction; Print Validation.
Run Configuration
TC-BR-108Seq 108 Ā· CTTTV (Transfer to Vault) Ā· ā±1,004,500.00 ā Teller -> Vault-Digos4 steps
TC-BR-108Seq 108 Ā· CTTTV (Transfer to Vault) Ā· ā±1,004,500.00 ā Teller -> Vault-Digos- 1As Teller 2, click Transfer to Vault (F4); enter amount ā±1,004,500.00 and denomination.
- 2Click Add to Queue; wait for the auto-pull.
- 3Click Post Transaction; have the Cashier accept on the vault side.
- 4Print Validation.
Run Configuration
TC-BR-109Seq 109 Ā· CTTTV (Transfer to Vault) Ā· ā±90,663.05 ā Teller -> Vault-Digos (final)4 steps
TC-BR-109Seq 109 Ā· CTTTV (Transfer to Vault) Ā· ā±90,663.05 ā Teller -> Vault-Digos (final)- 1As Teller 2, click Transfer to Vault (F4); enter amount ā±90,663.05 and denomination.
- 2Click Add to Queue; wait for the auto-pull.
- 3Click Post Transaction; have the Cashier accept on the vault side.
- 4Print Validation.
Run Configuration
Teller 3 Ā· 10
TC-BR-110Seq 110 Ā· CTVT (Request Additional Funds) Ā· ā±31,460.68 ā CASH BEG Vault-BLU -> Teller 35 steps
TC-BR-110Seq 110 Ā· CTVT (Request Additional Funds) Ā· ā±31,460.68 ā CASH BEG Vault-BLU -> Teller 3- 1As Teller 3, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±31,460.68 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-111Seq 111 Ā· CDEPC (Cash Deposit) Ā· ā±760,000.00 ā ACLA JR., CECILIO ATUEL5 steps
TC-BR-111Seq 111 Ā· CDEPC (Cash Deposit) Ā· ā±760,000.00 ā ACLA JR., CECILIO ATUEL- 1As Teller 3, press 1 ā Cash Deposit.
- 2Search for account
0141000091-41and verify it shows the correct customer (context: ACLA JR., CECILIO ATUEL). - 3Enter amount ā±760,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-112Seq 112 Ā· CTTTV (Transfer to Vault) Ā· ā±750,000.00 ā Teller -> Vault-BLU4 steps
TC-BR-112Seq 112 Ā· CTTTV (Transfer to Vault) Ā· ā±750,000.00 ā Teller -> Vault-BLU- 1As Teller 3, click Transfer to Vault (F4); enter amount ā±750,000.00 and denomination.
- 2Click Add to Queue; wait for the auto-pull.
- 3Click Post Transaction; have the Cashier accept on the vault side.
- 4Print Validation.
Run Configuration
TC-BR-113Seq 113 Ā· CTTTV (Transfer to Vault) Ā· ā±41,460.68 ā Teller -> Vault-BLU4 steps
TC-BR-113Seq 113 Ā· CTTTV (Transfer to Vault) Ā· ā±41,460.68 ā Teller -> Vault-BLU- 1As Teller 3, click Transfer to Vault (F4); enter amount ā±41,460.68 and denomination.
- 2Click Add to Queue; wait for the auto-pull.
- 3Click Post Transaction; have the Cashier accept on the vault side.
- 4Print Validation.
Run Configuration
TC-BR-114Seq 114 Ā· CTVT (Request Additional Funds) Ā· ā±1,484,485.68 ā Vault-BLU -> Teller5 steps
TC-BR-114Seq 114 Ā· CTVT (Request Additional Funds) Ā· ā±1,484,485.68 ā Vault-BLU -> Teller- 1As Teller 3, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±1,484,485.68 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-115Seq 115 Ā· CTTTV (Transfer to Vault) Ā· ā±31,460.68 ā Teller -> Vault-BLU4 steps
TC-BR-115Seq 115 Ā· CTTTV (Transfer to Vault) Ā· ā±31,460.68 ā Teller -> Vault-BLU- 1As Teller 3, click Transfer to Vault (F4); enter amount ā±31,460.68 and denomination.
- 2Click Add to Queue; wait for the auto-pull.
- 3Click Post Transaction; have the Cashier accept on the vault side.
- 4Print Validation.
Run Configuration
TC-BR-116Seq 116 Ā· CTVT (Request Additional Funds) Ā· ā±750,000.00 ā Vault-BLU -> Teller5 steps
TC-BR-116Seq 116 Ā· CTVT (Request Additional Funds) Ā· ā±750,000.00 ā Vault-BLU -> Teller- 1As Teller 3, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±750,000.00 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-117Seq 117 Ā· CTVT (Request Additional Funds) Ā· ā±41,460.68 ā Vault-BLU -> Teller5 steps
TC-BR-117Seq 117 Ā· CTVT (Request Additional Funds) Ā· ā±41,460.68 ā Vault-BLU -> Teller- 1As Teller 3, ensure your cage is Open.
- 2Click Request Additional Funds (F3); enter amount ā±41,460.68 and a reasonable denomination breakdown.
- 3Click Add to Queue; wait for the auto-pull.
- 4Have the Cashier approve the release (separate scenario for the Cashier).
- 5Once approved, click Post Transaction to accept the funds; Print Validation.
Run Configuration
TC-BR-118Seq 118 Ā· CDDB (DFOB Cash Out) Ā· ā±450,000.00 ā CASH OUT ->DFOB - Rizal Commercial5 steps
TC-BR-118Seq 118 Ā· CDDB (DFOB Cash Out) Ā· ā±450,000.00 ā CASH OUT ->DFOB - Rizal Commercial- 1As Teller 3, press 1 ā DFOB Cash Out.
- 2Search for account
āand verify it shows the correct customer (context: CASH OUT ->DFOB - Rizal Commercial). - 3Enter amount ā±450,000.00 (and any required description).
- 4Click Add to Queue; wait for the auto-pull.
- 5Click Post Transaction; supply the denomination breakdown (in / out per direction); Print Validation.
Run Configuration
TC-BR-119Seq 119 Ā· CTTTV (Transfer to Vault) Ā· ā±1,794,485.68 ā Teller -> Vault-BLU4 steps
TC-BR-119Seq 119 Ā· CTTTV (Transfer to Vault) Ā· ā±1,794,485.68 ā Teller -> Vault-BLU- 1As Teller 3, click Transfer to Vault (F4); enter amount ā±1,794,485.68 and denomination.
- 2Click Add to Queue; wait for the auto-pull.
- 3Click Post Transaction; have the Cashier accept on the vault side.
- 4Print Validation.
Run Configuration
End of Day & Reconciliation Ā· 6
TC-BR-EOD-001Teller 1 ā Generate Teller's Report (F9) and Verify Net Movement3 steps
TC-BR-EOD-001Teller 1 ā Generate Teller's Report (F9) and Verify Net Movement- 1As Teller 1, click Teller's Report (F9).
- 2Compare the on-screen blotter to the expected May 20 totals (deposits, withdrawals, check deposits, memos).
- 3Verify the closing balance equals the cash you transferred to Vault-Digos in seq 41 + seq 42.
Run Configuration
TC-BR-EOD-002Teller 2 ā Generate Teller's Report (F9)3 steps
TC-BR-EOD-002Teller 2 ā Generate Teller's Report (F9)- 1As Teller 2, click Teller's Report (F9).
- 2Verify the report enumerates all transactions from seq 43 to seq 109.
- 3Closing balance should match the final transfers to Vault-Digos (ā±1,004,500.00 + ā±90,663.05).
Run Configuration
TC-BR-EOD-003Teller 3 ā Generate Teller's Report (F9)2 steps
TC-BR-EOD-003Teller 3 ā Generate Teller's Report (F9)- 1As Teller 3, click Teller's Report (F9).
- 2Verify the report enumerates seqs 110ā119, with the final CTTTV of ā±1,794,485.68 to Vault-BLU.
Run Configuration
TC-BR-EOD-004Cashier ā Verify Vault Positions2 steps
TC-BR-EOD-004Cashier ā Verify Vault Positions- 1As Cashier, open the vault dashboards (Vault-Digos and Vault-BLU).
- 2Compare current balances against the script's expected EOD positions (sum of opening + accepted Teller transfers ā released Teller funding).
Run Configuration
TC-BR-EOD-005Bookkeeper ā Generate Daily Journal Report and Reconcile3 steps
TC-BR-EOD-005Bookkeeper ā Generate Daily Journal Report and Reconcile- 1As Bookkeeper, generate the Daily Journal Report for May 20, 2025.
- 2Reconcile the totals by transaction code against the expected reference at
scripts/replay-may20-journal-report.json. - 3Investigate any line whose debit/credit total does not match.
Run Configuration
TC-BR-EOD-006Branch Manager ā Close Cages and End Day3 steps
TC-BR-EOD-006Branch Manager ā Close Cages and End Day- 1Verify all three Teller cages show running balance ā±0.00.
- 2Close each cage; then trigger End Day for the branch.
- 3Confirm the branch state transitions to closed for May 20.
Run Configuration