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168 jobs found for Cash Register

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  • of Bank credits Vs cash applications with GL/Treasury Team. Run daily CC Report to create receipts on daily basis, tally daily balance with the received amount and total receipts created in ERP. If any card payment is declined to retry and if same occurs then reverse the receipt. Clearing receipts

  • Responsibilities Responsible for cash and customer transactions. Cash Receipts, Deposits & Payments Cash balancing Handling the Banking System Vault custodian Filing of End of day (EOD) Reports Handling Non-Cash transactions like DD/MC/TC, Fund transfer etc Register updation on EOD Cash

  • Responsibilities : Responsible for cash receipts, deposits, payments and cash balancing The incumbent would also act as vault custodian Filing of End of day (EOD) Reports Handling Non-Cash transactions like DD/MC/TC, Fund transfer etc Register updation on end of day cash position, instruments

  • Dear Candidates, Greetings from MorgenAll! We are hiring for Sales Beauty Advisor Please find the details below. Exp: 3-5 yrs Any qualification/ 10th / Plus 2/ Diploma Job Location: HSR Layout, Indira nagar Good communication Should have experience in handling Cosmetics / Skin development products Interested candidates kindly share your profile . Do refer your friends. Regards Asiya The main responsibilities of ...

  • Receive payment by cash, check, credit cards, vouchers, or automatic debits Issue receipts, refunds, credits, or change due to customers Count money in cash drawers at the beginning of shifts to ensure that amounts are correct and that there is adequate change Maintain clean and orderly checkout

  • establishments. Maintain clean and orderly checkout areas. Establish or identify prices of goods, services or admission, and tabulate bills using calculators, cash registers, or optical price scanners. Issue trading stamps, and redeem food stamps and coupons. Resolve customer complaints. Cash checks

  • establishments. Maintain clean and orderly checkout areas. Establish or identify prices of goods, services or admission, and tabulate bills using calculators, cash registers, or optical price scanners. Issue trading stamps, and redeem food stamps and coupons. Resolve customer complaints. Cash checks

  • establishments. Maintain clean and orderly checkout areas. Establish or identify prices of goods, services or admission, and tabulate bills using calculators, cash registers, or optical price scanners. Issue trading stamps, and redeem food stamps and coupons. Resolve customer complaints. Cash checks

  • Responsible for cash and customer transactions. Cash Receipts, Deposits & Payments Cash balancing Handling the Banking System Vault custodian Filing of End of day (EOD) Reports Handling Non-Cash transactions like DD/MC/TC, Fund transfer etc Register updation on EOD Cash position, Instruments

  • Responsible for cash and customer transactions. Cash Receipts, Deposits & Payments Cash balancing Handling the Banking System Vault custodian Filing of End of day (EOD) Reports Handling Non-Cash transactions like DD/MC/TC, Fund transfer etc Register updation on EOD Cash position, Instruments

  • Responsible for cash and customer transactions. Cash Receipts, Deposits & Payments Cash balancing Handling the Banking System Vault custodian Filing of End of day (EOD) Reports Handling Non-Cash transactions like DD/MC/TC, Fund transfer etc Register updation on EOD Cash position, Instruments

  • Cash Flow Statement Performed general office duties and administrative tasks. Administration of online banking functions. Managing bank accounts and other banking activities Min 1 -3 years of relevant experience Should have sound knowledge of Tally, TDS, Bank Reconciliation, Balance sheet etc. Basic Accounting concepts should be clear. Good knowledge of Excel

  • Description The primary function of this role is to achieve the following: Execution of LCY transactions such as - cash deposits/ cash withdrawals, TIDE liquidation, draft issuances, in house transfers, draft cancellations, maintenances such as address change, cheque book & deposit slip issuance ...

  • Description Core Responsibilities: Dimensions of the Job The primary function of this role is to achieve the following: Execution of LCY transactions such as- cash deposits/cash withdrawals, TIDE liquidation, draft issuances, in house transfers, draft cancellations, maintenances such as address

  • proofs provided by the customer for purposes such as transactions, account opening etc. Take overall responsibility for housekeeping, physical infrastructure and IT infrastructure Responsible for coordination of functioning and replenishment of cash in the Branch ATMs (tobe decided post finalization

  • proofs provided by the customer for purposes such as transactions, account opening etc. Take overall responsibility for housekeeping, physical infrastructure and IT infrastructure Responsible for coordination of functioning and replenishment of cash in the Branch ATMs (tobe decided post finalization

  • proofs provided by the customer for purposes such as transactions, account opening etc. Take overall responsibility for housekeeping, physical infrastructure and IT infrastructure Responsible for coordination of functioning and replenishment of cash in the Branch ATMs (tobe decided post finalization

  • proofs provided by the customer for purposes such as transactions, account opening etc. Take overall responsibility for housekeeping, physical infrastructure and IT infrastructure Responsible for coordination of functioning and replenishment of cash in the Branch ATMs (tobe decided post finalization

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