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 transactions.
Not exact matches
Calculate money in cash drawers at the beginning and the
ending of shifts to make sure that the amounts are accurate and that there is sufficient change
Inventory,
shift transform, liquor exhaustion, planning, miscellaneous paperwork, direct reports,
calculate register at
end of shift, ensure all is in operational order and assist bartenders and waitresses if required.
Balanced currency, coins and checks in cash drawers at the
end of shifts and
calculated daily transactions using computers and calculators.
Balanced currency, coins, and checks in cash drawer at
end of shift and
calculated daily transactions using 10 - key.
Cashiering • Hands - on experience in accepting payments from customers and give change and receipts • Highly skilled in using scanners, cash registers, and calculators to
calculate the price
of items that customers buy • Proven record
of using the right process for cash, credit cards, or other types
of payment • In - depth knowledge
of handling returns and exchanges
of goods • Thorough understanding
of counting the money is in the register at the beginning and
end of the
shift
Balance currency, coin, and checks in cash drawers at
ends of shifts, and
calculate daily transactions
Calculate money in cash drawers at the beginning and the
end of shifts for accuracy
of transactions and petty cash.
Calculated money in cash drawers at the beginning and the
ending of shifts to make sure that amounts is accurate and that there is sufficient change
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
• Greet customers as they arrive and ensure that they are being served by a host • Ascertain that menu item prices are correctly displayed and update changes as required • Look at work orders and punch ordered items into the system • Recheck punched items to ensure correct billing •
Calculate billed items manually for verification • Take printouts
of billed items, place them in folders and hand them to waiters • Receive and count cash payments and tender change • Process debit and credit card payments and ensure that receipts are signed and cards returned • Tally cash drawer at the
end of each
shift and handle any discrepancies before the
shift ends • Manage light bookkeeping activities and generate cash and credit reports • Ascertain that the cash register has sufficient change in it at the beginning
of each
shift • Make bank transactions and handle bank reporting activities
Handled money and
calculated the «
End of shift» and «
End of day» sales reports, to ensure that the cash register did not have any unexpected gains or losses.
Thus, it's easy to understand how parental focus can
shift from the child to the child - as - product, underlining a kind
of premeditated parenting with
calculated ends in mind.