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PT Main Bank

Open 16d

Summary

Handles cash transactions, reconciliations, and reporting for a casino cage, ensuring accuracy and security of funds.

  1. Promotes customer service as a priority.
  2. Complies with company and department policies and procedures and applicable Federal, State, and Tribal laws and regulations while practicing positive customer and employee relations.
  3. Accurately and efficiently processes a wide variety of in-house monetary transactions.
  4. Accurately verify and transfer Soft Count Drop to Cage Main Bank. Prepare daily deposit after reconciling Cage Cash Summary.
  5. Provides accurate and timely documentation and reporting of department activities and status as requested.
  6. Maintains accountability for and security of all monies and keys within control.
  7. Maintains a professional and neat appearance of work area and of self and represents the company in a positive manner.
  8. May act in the capacity of a Cage Cashier.
  9. Maintains confidentiality of company and player information.

Such other job related duties as may be assigned by instruction from management

See also

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