- Receipt of Payments: Receiving payments in cash, by credit card or other methods, paying the remaining amounts and issuing the appropriate receipts
Balance Reconciliation: Reconcile incoming cash with total sales at the end of the shift, and report or reconcile any discrepancies
Processing cash: sorting cash, counting it, tying it into bundles, and preparing it for deposit in a financial institution
- Counting money: Counting the money and recording it in the cash register at the beginning of the work shift, and ensuring the availability of a sufficient amount of small coins (change).
- Calculating prices: constantly updating price lists, calculating the prices of goods or services, preparing billing schedules, and applying discounts when necessary