Job Description
Position Summary
Manages all store funds through accurate cash handling and record keeping to ensure financial integrity and security.
What you'll do
1. Confirms appropriate amount of currency in Accounting Office upon opening, after final deposit and prior to closing the office daily and calibrates the teller mate machine weekly or as necessary.
2. Manages all store funds, including cash registers, ATM’s, self-checkouts and vending machines.
3. Regulates movement of cash by processing register bags to prepare deposits for armored car pick up and reconciles end of day business transactions.
4. Identifies, prepares, organizes, and separates financial reports and logs and distributes relevant information to appropriate people, including researching and challenging all chargebacks and reconciliation of journal accounts.
5. Communicates shortages as per guideline to DLPM and Management.
6. Monitors area for signs of ...
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