Cash Management & Reconciliation -Issuing Cashier Floats and replenishing small change, balancing supplier reports -Preparing Forecourt, Bakery, Cashiers, and other general staff Roster -Daily Staff Attendance
figures to system figures ● Liaising with stores ● Assisting with various reports i.e. stock; sales; etc
and ensuring that data is stored in the relevant standard folders. – Assist with the typing of letters