each register run daily bank up etc. Oversees daily cash reconciliation and bank deposit procedures Communicate
tasks and activities: Checking the cash up and banking detail daily Assist with customer refunds Ensure
tasks and activities: Checking the cash up and banking detail daily Assist with customer refunds Ensure
overseas shipment. Compile and send documents to the bank relating to evidence of importation Assist with
operations activities, namely sales, POS transactions, banking, cash ups, stock control and merchandising. Communicate
operations activities, namely sales, POS transactions, banking, cash ups, stock control and merchandising. Communicate
Knowledgeable in payment procedures (e.g. cash, cheque, bank card, credit cards, coupons, vouchers). • Knowledge
Knowledgeable in payment procedures (e.g. cash, cheque, bank card, credit cards, coupons, vouchers). • Knowledge
daily and investigate any stock loss Check all banking in terms of cash deposit and credit card sales
daily and investigate any stock loss Check all banking in terms of cash deposit and credit card sales