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Year-end personal summary of bank cashiers in 2019


In XX, in the busy and intense work of the staff of the whole bank, it was nearing the end of the year. The year-end is the busiest time and the most time in our hearts. Because looking back at the work of the year, every employee of our accounting department has its own harvest, and there is no inaction and time. Despite the different division of positions, everyone is doing their best to contribute to the development of the industry. Time is like a shuttle, and in an instant, it will cross an annual hurdle. In order to sum up experience, carry forward achievements, and overcome deficiencies, this year's work will be briefly reviewed and summarized as follows:
This year, I worked in the finance department, mainly responsible for cash receipts and payments, ticket seal management, invoicing and interbank settlement business. When I first started working, I simply thought that the cashier’s work seemed to be very simple, but it was a little bit of money, filling it up. Cheques, running banks and other transactional work, but when I really put into work, I realized that my understanding and understanding of cashier work is wrong. Cashier work is not only responsible, but also has many academic and technical problems. I can master the combination of practice. In normal work, I can strictly abide by the financial rules and regulations, strictly implement the cash management and settlement system, and do the daily check-up, check the cash and accounts regularly, and find that the cash amount does not match. Timely reporting and timely processing, timely payment of wages and other funds to be issued according to the documents provided by the accountant, adhere to financial procedures, strictly review the relevant original documents, do not meet the requirements, do not pay, strictly keep the relevant seals, blank checks, blank receipts, cash on hand Complete and safe, keep abreast of bank deposit balances, not issued Short check and forward check, after closing the account at the end of the month, check the cash flow and bank deposit details, and carefully bind the original voucher for the month, and timely deliver the bank's original documents and receipts and receipts in a timely manner, and do a good job in accounting and accounting. Funding under the municipal funds, strictly control the use of special funds and bank accounts.
These are some of my experiences and understandings since I started this year. I am also a process in which I turn theory into practice in my work. In the future work, I will strengthen my study and master financial policies, regulations, and business knowledge, and constantly improve my own. The business level, strengthen financial security awareness, protect personal safety and the company's interests without loss, do their own work, and develop together with all employees of the company, the new year means new starting point, new opportunities, new Challenge, I am determined to make persistent efforts and take it to the next level. Looking back at the work of the year, I still feel that there are still many shortcomings:
1, just to meet the completion of their own tasks, work development is not bold enough;
2, the quality of business is not improving fast, and the new business knowledge is not enough, not transparent;
3. There is still a gap between my job and other peers, and the sense of innovation is not strong.
The above is a summary of the personal work of our department throughout the year XX, reporting to the leadership and staff of the whole bank. All the achievements in this year only represent the past, all the lessons and shortcomings of each of us are kept in mind and strive to improve. Work is day after day, seemingly boring, but we believe that "by bit by bit, make extraordinary." With today's accumulation, there will be tomorrow's glory.

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