Ensure daily receipt of all Cashiers’ Cash Sheets and POS reports from all branches
Sort and reconcile Cashiers’ Cash Sheets (cash and stock) to identify overages or shortages for all five branches
Post Cash Sheets into Peachtree via journal entries
Notify relevant Cashiers, Supervisors, Office Manager, and HR of any discrepancies in Cash Sheets
Print daily back-office sales reports and reconcile with Cash Sheets across all branches
Distribute coins, deposit bags/books, stationery, and other essential documents to branches as needed
Record daily requisitions for all branches using Excel spreadsheets
Enter monthly Inter-Branch Sales invoices for all branches into Peachtree
Perform inventory adjustments within Peachtree as required
Prepare weekly financial and operational reports for the Director, including Purchases, Sales, Courtesy transactions, Market data, Voids, etc.
Assist with year-end closing activities and financial statement preparation
Maintain organized filing systems for financial records and documents
Support other accounting and administrative tasks as assigned