PT Main Bank
Summary
Handles cash transactions, reconciliations, and reporting for a casino cage, ensuring accuracy and security of funds.
- Promotes customer service as a priority.
- Complies with company and department policies and procedures and applicable Federal, State, and Tribal laws and regulations while practicing positive customer and employee relations.
- Accurately and efficiently processes a wide variety of in-house monetary transactions.
- Accurately verify and transfer Soft Count Drop to Cage Main Bank. Prepare daily deposit after reconciling Cage Cash Summary.
- Provides accurate and timely documentation and reporting of department activities and status as requested.
- Maintains accountability for and security of all monies and keys within control.
- Maintains a professional and neat appearance of work area and of self and represents the company in a positive manner.
- May act in the capacity of a Cage Cashier.
- Maintains confidentiality of company and player information.
Such other job related duties as may be assigned by instruction from management