#1 Teller Line Posting
#30 Member Account Adjustment (Coded)
#31 Reverse Tran/Adjust Drawer (Same Day)
#32 Teller/Vault Cash Transfers & Inquiry
#33 Teller Drawer Control/Inquiry
#120 Adjust Teller Drawer/Audit Keys
#760 Reprint Corporate Checks
#850 Teller/Vault Cash Transfer Inq.
#869 Transaction Reversal