Will function as a Cashier (102009) when assigned Responsible for maintaining accountability of Player’s Bank Responsible for the redemption and consolidation of counter checks, maintaining accountability of counter checks after issuance. Secures cash/currency to be deposited at the bank and handles transfer of funds. Accepts returned cash drawers and counts down the bank for overages and shortages. Verifies and processes currency exchanges and transfers for Vault windows. Responsible for the flow of and documentation of money and other cash equivalent documents through the vault to support daily gaming activities.
Responsible and accountable for funds from all cash transactions occurring during shift in accordance with company’s internal controls and requirements of the Gaming Commission on Accounting and Internal controls.
Controls and issues currency and cash used by the resort.