Vertex Teller Automation System™ – Comprehensive teller sales, service, and transaction processing solution
TellerMaster™
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Provides customized transaction setup, easy-to-use balancing and research functions, and electronic journal capabilities.
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Fully integrates with Jack Henry Banking’s document and check imaging platforms.
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Displays customer names, balances, alert messages, CIF messages, memo postings, and host application inquiries.
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Provides tellers with immediate access to current, customized, and in-depth customer data.
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Provides tellers with the ability to view check images and signature cards without leaving their terminals or customers.
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Allows tellers to request assistance for balance information, override approval, or customer account review from any manager logged into the system.
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Enables tellers to share branch information easily and instantly.
CheckMaster™
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Allows tellers to quickly produce cashier’s checks, money orders, expense checks, loan proceeds checks, counter checks, deposit slips, and starter kits with each process taking 10-20 seconds.
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Imprints custom logos onto checks.
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Prints digitized signatures to prevent unauthorized signatures, helping to ensure that tellers follow related bank policies.
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Produces reports for any department.
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Helps monitor fee collections and assists in producing the monetary instrument log.
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Prints checks from CSRs’ desks for accounts being closed.
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Quickly reconciles issued checks and creates online check registers.
CheckMaster™ Plus
- Enables banks to print temporary checks and deposit slips for customers at the counter.
- Imprints custom logos onto checks.
- Supports the ability to add customers’ names, addresses, and requested check numbers.
- Prints to designated printer of choice, and populates the MICR line for each check.
SigMaster™
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Stores all signatures at the host and returns a graphical signature on-screen while tellers process transactions.
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Scans signatures and stores them in a central location, providing immediate access to signatures from any connected PC or image-capable workstation.
BondMaster™
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Calculates the amount of interest due to the customer when the teller inputs the bond issue date and series type.
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Automatically transfers tax information into the core system’s year-end files, enabling the bank to accurately report 1099 interest to the IRS as a by-product of redeeming the bond.
CTRMaster™
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Assists in the production of the 104 Currency Transaction Report (CTR) that must be filed with the IRS.
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Allows tellers to store CTR data electronically rather than on paper and to transmit CTR data electronically to the IRS.
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Tracks multiple cash transactions for multiple customer accounts.
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Accesses, updates, and maintains an electronic file of both customer and non-customer tax-related information, eliminating the need to re-enter the data at year-end.
Isosceles™
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Provides management information and measurements about branch staffing, precise transaction costs, and volume trends.
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Evaluates individual teller performance to adjust personnel levels for maximum efficiency.
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Evaluates the productivity of individual branches in comparison to other bank branches.
Cash Dispenser™
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Generates teller balancing reports.
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Allows tellers to operate drawers with lower cash limits.
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Maintains complete audit trail of cash transfers.
Cash Recycler
Real Time™
Co-Mingle
Store Forward™
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Supports offline processing during occasional periods of system downtime, enabling tellers to continually process transactions.
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Enables tellers to easily upload transaction files from a temporary file after outages are resolved.
PassBook™