- Handles cash, cheques and credit cards deposits on daily basis.
- Collects payment and issues bills, receipts, refunds or change to customers who have made purchases.
- Reconciles receipts with bills on daily basis.
- Prepares and shares showroom daybook on daily basis with the management.
- Reconciles cash in hand daybook with physical cash.
- Responsible for excess cash deposit into bank and record accordingly.
- Carries out additional tasks as assigned by the reporting authority.
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