To manage cashiering at the store in order to do error free billing and superior customer service at the store, Thus assisting in Store sales targets achievement.
To Maintain daily account and reconciliation of the daily transactions
Making daily, weekly and monthly transaction reports.
Cash handling functions for the hotel/ Restaurant and reconcile all cash,
Preparing the vouchers for various payments are and when requirements under the supervision of Accounts Manager
Assist the Executive/ Manager/ Finance Controller administration, G/L account reconciliation, budget preparations, inventories, monthly closings and full P & L responsibility.