Sentences with phrase «daily cash drawers»

All credit card slips, terminal reports, and other register receipts can be stapled to the Daily Cash Drawer Report and filed by date.
Balanced daily cash drawer, created room assignments, pre authorized and verified credit card authorizations.
Ensured accurate cash management which included verifying / overriding voids, approving discounts, monitoring daily cash drawer drops, and restocking employee cash drawers
Bilingual (English / Spanish) Hard Working Great Customer Service Skills Friendly Team Player Goal Oriented... - Jan 2017 Ulta Beauty Porterville, Ca Customer Service Representative, Daily cash drawer reconciliation... operated cash register accurately Cashier Customer Service Representative Jan 2008 - Jan 2011 Target

Not exact matches

... Manages daily paperwork including occupancy report, guest list, cash drawer summary, balance sheet... to corporate office as appropriate.
Operate POS cash register, handling 92 transactions on average daily, and count money in cash drawers to ensure the amount is correct
Processed payments, allocated tips to workers, balanced cash drawer, and prepared daily deposit.
Balanced the register and cash drawer to make sure that daily sales and money were equal at closing
Conduct sales transactions using cash processing terminals while ensuring the cash drawer is balanced daily
Managed the booking and billing of guest reservations, checked guests in and out of their rooms, reviewed daily reports, handled multiple telephone lines, maintained cash drawer, handled all guests complaints
Operated and managed daily reconciliation of cash drawer and other financial verification machines
Cash management: Opening and closing out registers daily, Prepare, verify, and transport deposits to the bank, verifying check, refund slips, credit card receipts, and keeping the change drawer and safe balanced.
Open and close store as a key holder, perform store inventory counts, deposits, count tills and audits of cash drawers daily.
Responsibilities incorporated into sample resumes of Tellers include assisting customers with deposits and withdrawals, reconciling and balancing the teller cash drawer at the end of every day, reconciling all teller transactions, and conducting daily balancing of the ATM.
Balanced personal cash drawer and vault daily, ensuring accurate cash detail and cash movements were recorded
Act as Vault Custodian for the branch, maintaining branch cash averages up to $ 450,000, ordering and shipping currency, and balancing the vault and cash drawer on a daily basis.
Ensured compliance with banking policies and audit procedures; maintained and balanced cash drawers on a daily basis.
Verify and balance assigned cash drawer daily with minimal cash variances of + / - $ 3.
Balanced currency, coins and checks in cash drawers at the end of shifts and calculated daily transactions using computers and calculators.
Because I can contribute significantly to your bank utilizing my expertise in processing customer transactions, balancing cash drawers, calculating daily transactions using computers, and verifying that signatures are correct.
Demonstrated accuracy in cashiering, cash handling and credit - card processing; balanced cash drawers daily.
Balanced currency, coins, and checks in cash drawer at end of shift and calculated daily transactions using 10 - key.
Post payments to accounts, balance cash drawer to ensure accuracy of all transactions, prepare money for deposits, keep records and issue receipts for monies collected and compile daily cashier balance reports based on receipts.
Perform responsibilities of preparing daily shift report and balance paper work and cash drawer
Verified and balanced assigned cash drawer daily with minimal cash variances.
Accounting and ledger balancing, daily bank deposits cash drawer auditing and accounts receivable.
Receives permits, payments, bonding, and contractor registrations, handles cash in various transactions, reconciles cash drawer and prepares daily deposits...
Counted opening cash drawer daily; handling cash, credit card and debit transactions on register
Received water / sewer payments, handled accounts receivables, coordinated accounts payables, and balanced cash drawer daily
Managed daily café finances: reconciled cash drawers, ensured sufficient cash levels, handled bank deposits and obtained change as needed.
Managed balancing of cash drawer daily, and maintained daily cash limit within policy guidelines.
Balance currency, coin, and checks in cash drawers at ends of shifts, and calculate daily transactions
Bank Teller — ABC Bank of New Jersey, Atlantic City, NJ — 3/2012 — Present • Use computer software proficiency to advise staff on accelerated processing techniques to reduce customer wait times by 20 percent • Enforce a high standard of customer service in the greeting and assisting of customers in the drive through and bank lobby • Verify signatures and balances when cashing checks and processing withdrawals and deposits • Calculate daily transaction amount and balance the cash drawer at the start and end of every shift, with an unwavering record of no shortages or overages throughout employment • Answer customer inquiries concerning balances, account details, and financial services, and refer questions to head management when necessary • Open and close customer accounts, resolve customer complaints, and perform account lookups on a daily basis
• Maintain and balance cash drawer on a daily basis.
Proficient in managing and balancing cash drawer, and preparing and making daily deposits.
Bank Teller • Welcome clients and establish relationships with them in a bid to provide exceptional customer services • Interact with clients in order to understand their banking and financial needs • Provide clients with information on latest products and services that they can gain from • Assist clients in fulfilling their banking needs by directing them to concerned banking officials • Create a list of potential clients leads and provide marketing / relationship managers with information on those leads • Receive and process financial instruments such as checks and cash • Ensure that there is enough cash in the cash drawer at the beginning of each shift • Make sure that the cash drawer is tallied at the end of each shift • Handle any discrepancies in cash on immediate basis • Create end of the shift cash and client reports on a daily basis
• Handle POS and balance cash drawer on a daily basis.
US BANK, Orlando, FL Teller, 3/2010 to 6/2012 • Verified signatures, processed checks and forwarded customer requests to relevant departments • Examined cashier checks for endorsements, verified information for recipient identification and issued the amount • Balanced cash drawers on daily basis
• Perform daily close out of a cash drawer.
• Customer Orders: Took customer orders, recorded it into computer database and returned change • Customer Service: Maintained friendly, smiling and good attitude with every customer specially addressing complaints calmly and swiftly • Cleaning and Maintenance: Performed numerous cleaning duties, heavy lifting, parking lot maintenance • Cash Handling: Took cash responsibility and matched daily cash in drawers with sales at day end and cloCash Handling: Took cash responsibility and matched daily cash in drawers with sales at day end and clocash responsibility and matched daily cash in drawers with sales at day end and clocash in drawers with sales at day end and closing
Cash checks and pay out money after verifying that signatures are correct Receive checks and cash for deposit, verify amount, and check accuracy of deposit slips Balance cash, checks in cash drawers at end of shift Calculate daily transactiCash checks and pay out money after verifying that signatures are correct Receive checks and cash for deposit, verify amount, and check accuracy of deposit slips Balance cash, checks in cash drawers at end of shift Calculate daily transacticash for deposit, verify amount, and check accuracy of deposit slips Balance cash, checks in cash drawers at end of shift Calculate daily transacticash, checks in cash drawers at end of shift Calculate daily transacticash drawers at end of shift Calculate daily transactions.
• Accurately balanced currency, coins, and checks in cash drawer at shift's end, and calculated daily transactions using 10 - key.
Cash Handling; Took cash responsibility and matched daily cash in drawers with sales at the end of the Cash Handling; Took cash responsibility and matched daily cash in drawers with sales at the end of the cash responsibility and matched daily cash in drawers with sales at the end of the cash in drawers with sales at the end of the day.
Operated cash register, handling over 30 transactions on average daily, and counted money in cash drawers to ensure the amount is correct.
Balanced daily cash deposits and bank vault inventory with a zero error rate.Processed cash withdrawals.Trained employees on cash drawer operation.Adhered to Bank of Cherokee County's security and audit procedures.Examined checks for identification and endorsement.Supplied tellers with coin and currency as needed.Maintained confidentiality of bank records and client information.Delivered prompt, accurate and excellent customer service.
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