Cash Office Clerk – Cash Handling & Banking
OL Group of Companies
Job description
About the role
To control and administer all cash handling and daily banking processes by reconciling cash takings, investigating variances, and ensuring accurate balancing of transactions to support operational integrity.
Key responsibilities
- Perform daily cash‑ups and reconcile all transactions.
- Investigate shortages and overages and report findings.
- Manage cash floats and petty cash for the organisation.
- Ensure accurate and timely banking of all funds.
- Prepare and submit daily reports to Head Office.
- Conduct cashier spot checks and reconciliations.
- Monitor financial accuracy across all cash points.
- Ensure compliance with all cash handling procedures.
- Maintain strict control over company funds.
- Identify and report inconsistencies or risks.
- Support frontline operations when required.
- Assist with audits and stocktakes.
Required profile
- National Senior Level Certificate.
- 2–4 years of cashier or cash handling experience.
- Strong numerical and administrative skills.
- High level of integrity and attention to detail.
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Published 2 weeks ago
Expires 1 month from now
20 views · 0 interested
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OL Group of Companies