This team member will be responsible for: Responsible for the accuracy of all weighing; Balance currency, coin, and checks in cash drawers at ends of shifts, and calculate daily transactions using computers, calculators, or adding machines; Generates invoices, itemize lists and tickets showing amount due, verifying weights, prices, and extensions; Record and verify cash amounts received from controllers and prepare reports for daily transactions; Run tape for daily tickets paid out; Pay out money after verifying numerical amounts agree; Enter customers' transactions into computers records and issue computer-generated receipts; Identify transaction errors; Arrange monies received in cash boxes according to denomination; Responsible for end-of-day reports; Enter the correct codes for received materials; Maintain orderly purchasing and sales tickets.
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Job Type
Full-time
Career Level
Entry Level
Education Level
High school or GED
Number of Employees
1,001-5,000 employees