Skip to content
Print A Bill™ — Create Custom Bills → Shop Best Sellers → RealAged® — Our Most Realistic Prop Money → Preview Your Money Setup with Stack Simulator → Production & Government Bulk Orders → Explore Our Prop Money Guide & Resources → New Close-Up Hero Bills → Trusted by Top Productions Worldwide

Branch onboarding simulation

Prop Money for Bank Teller Training

Build controlled teller exercises for opening a drawer, processing deposits and withdrawals, counting cash and closing to an expected balance. Choose training quantities from the transaction workflow and number of active teller stations.

Explore custom training bills →
OPENCount in
PROCESSTransact
VERIFYBalance
CLOSECount out

Teller cycle

Practice the complete drawer lifecycle.

Opening count

Verify the starting cash by denomination and compare it with the instructor’s control sheet.

Customer transaction

Process the scenario, count the cash visibly and preserve documents in the correct order.

Midday proof

Pause activity, confirm the expected total and isolate any difference before continuing.

Closing balance

Count out, reconcile to the transaction record and rebuild the next starting drawer.

Drawer architecture

Separate working cash from controlled reserve.

A training drawer should mirror the decisions a teller must make while keeping instructor inventory easy to track. Use clear station IDs and never mix one teller’s set with another during an exercise.

WORKING

Daily transaction mix

Common denominations used for routine deposits and withdrawals.

ACTIVE
STRAP

Pre-counted bundle

Instructor-approved quantities used for larger practice transactions.

SEALED
RESERVE

Replacement inventory

Extra bills controlled by the facilitator for resets and discrepancies.

LOCKED

Transaction scenarios

Train accuracy under changing conditions.

Deposit with mixed denominations

Count, organize and confirm the total before updating the practice record.

Withdrawal with denomination request

Build the requested mix while protecting the drawer’s ability to complete later transactions.

Cash exchange

Receive one denomination mix and issue another without changing the total value.

Interrupted transaction

Preserve the current state, document the pause and resume without combining cash or paperwork.

Instructor control

Make every discrepancy traceable.

Station ID

Assign each drawer, trainee and transaction packet a matching identifier.

Expected result

Keep a facilitator-only answer sheet for every transaction sequence.

Timed checkpoints

Require proof at defined points instead of waiting until the final close.

Reset record

Document who rebuilt the drawer and who confirmed the next opening amount.

Related teller tools

Prepare the training station.

Teller training FAQ

Planning questions

Should each trainee have a separate drawer?

For full-cycle practice, yes. Shared demonstrations are useful, but individual drawers make accountability and balancing measurable.

How many transactions should one exercise include?

Use enough variety to test the target skills without making the final discrepancy impossible to diagnose. Add complexity across later rounds.

How should training sets be stored?

Package each drawer separately, label its expected opening amount and keep strap and reserve inventory under instructor control.