managing cash, processing payments, and maintaining records of financial transactions in a timely and accurate refunds, credits, or change to customers. Maintain records of all transactions and ensure accuracy. Compliance Tasks: Prepare and submit daily cash reports and documentation. Assist in the preparation of financial statements
Administrative Support: Maintain accurate records and documentation in our applicant tracking system and other
Administrative Support: Maintain accurate records and documentation in our applicant tracking system and other
support to Clientele. Creation of software documentation. Time and Task tracking and reporting to Head