Job Responsibilities
-Observes retrieval procedures and provides comments on deviations against standard operating procedure
-Checks security of tokens and tickets inside machines and in the office
-Conducts surprise cash count of petty cash, cash sales and change fund and establishes acceptability by verifying transactions against record
-Accurately checks branch records and logbooks and verifies all data recorded
-Prepares appropriate schedules, working papers and computations in the analysis of various accounts of transactions.