Key Responsibilities:
• Handle and monitor daily cash transactions and ensure cash is properly accounted for.
• Check and verify daily cash transactions for accuracy and completeness.
• Perform daily cash reconciliation and identify any cash shortages or discrepancies.
• Investigate cash variances and report discrepancies to the Head Cashier/Management.
• Conduct regular spot checks on cashiers, cash floats, and cash handling procedures.
• Verify cashier reports, receipts, and supporting documents.
• Ensure all cash-related documentation is complete, accurate, and properly maintained.
• Monitor cashier transactions and ensure company cash-handling procedures are followed.
• Assist with cash counting, deposits, and other cash-related activities.
• Maintain accurate records of cash movements and discrepancies.
• Support the Head Cashier in monitoring cashier performance and compliance.
• Report any irregularities, errors, or suspected cash-handling issues promptly.
• Perform other duties related to cash management as assigned by management.
Requirements:
• Previous experience in cash handling, cashiering, or a similar role.
• Strong attention to detail and accuracy.
• Good numerical and reconciliation skills.
• Ability to identify and investigate cash discrepancies.
• Good knowledge of cash-handling procedures and documentation.
• Strong organizational and communication skills.
• Ability to work under pressure and meet daily deadlines.
• Previous experience in the F&B, retail, hospitality, or airport environment is an advantage.
• Good knowledge of MS Office, particularly Excel, is preferred.
Benefits
• Air ticket every two years
• Health Insurance
• Shared accommodation.
To apply, send your CV to the email address below:
[email protected]