- Step 1: Consult and receiving client requests
- Step 2: Tally money / deductions from the Personal Account and handle customer requirements on system korebank.
- Step 3: SUPERVISOR approving vouchers and traded on Korebank
- Step 4: ACCOUNTANT gifts printed notice, ballot accounting, print certificates of deposit
- Step 5: Sign approve the issuance of certificates of deposit
- Step 6: Check results for customers, saving certificates word and end the transaction.
đang được dịch, vui lòng đợi..
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