Roles & Responsibilities:
- Oversee and manage all cashiering and financial operations of the business.
- Supervise cashier team, ensuring accurate daily transactions, proper float management, and timely cash reconciliation.
- Prepare and verify daily cash and sales reports, ensuring timely bank deposits and documentation.
- Monitor and control cash flow, ensuring sufficient liquidity for operational needs.
- Maintain financial records, prepare monthly accounts, and assist in budget planning and financial forecasting.
- Ensure all cashiering and financial practices comply with internal policies and statutory requirements.
- Liaise with external auditors, banks, and government agencies on financial matters, including tax and compliance.
- Investigate and resolve discrepancies in cash handling, sales reconciliation, and reporting.
- Develop and enforce internal controls to safeguard company assets and prevent fraud.
- Provide financial insights to management for strategic planning and business improvement.
Requirements:
- Diploma or Degree in Accounting, Finance, or related field.
- At least 5 years of experience in a similar role, with hands-on experience in cashiering and financial management.
- Strong leadership, attention to detail, and high integrity.
- Proficient in accounting software, POS systems, and Microsoft Excel.
- Able to work independently, including weekends and public holidays, if required.
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