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You will be updated with latest job alerts via emailEnsure Cash & Credit Accuracy by reconciling pending cash and credit transactions and investigating and resolving discrepancies between actual amounts and system records.
Finalize Financial Reports.
Ensure financial Data accuracy and completeness for reporting.
Streamline and standardize store Month-End closing process.
Ensure Accurate Deposits, Investigate any variances between expected and actual deposits, and obtain justifications.
Enhance customer experience and operational efficiency by resolving outstanding refund or POS system issues.
Work as the focal point between stores and teams, issuing refunds, issuing new machine requests and supporting the stores in their daily cash-related tasks.
Full-time