- Tractor Supply Company (Poinciana, FL)
- …merchandising activities. Perform Opening/Closing procedures. Transport and make deposits to bank . Assess store conditions and assign duties. Organize and prioritize ... Team Members on job functions, responsibilities and financial goals. Operate cash register/computer supervising cash handling procedures. Assist Team Members… more
- PNC (Fort Lauderdale, FL)
- …be based in Fort Lauderdale/Florida. Bilingual Spanish preferred. PNC Business Bankers provide cash flow solutions to businesses with annual sales from $1 million to ... environment you will leverage your business acumen to facilitate cash flow conversations with clients and prospects. Additionally, you...and enhance the client experience. Focuses on bringing entire bank to the client by presenting the full range… more
- Capital One (Miami Beach, FL)
- …to a new idea in banking. Here at Capital One, we're redefining how people bank . You see, we believe banking should fit our customers' everyday lives - not the ... At least 1 year of People Management experience or 2 years Retail Bank Experience **Preferred Qualifications:** - 3+ years of Customer, Retail, or Financial Services… more
- Truist (Jupiter, FL)
- …Participate fully in all components of the established Truist Retail Community Bank Leadership Routines. 6. Commit to advancing individual and product knowledge to ... 1. High school diploma or equivalent education 2. Two years of teller or cash handling or client service experience 3. Six months of client relationship building or… more
- Marriott (Lake Buena Vista, FL)
- …locking doors, etc. Set up, stock, and maintain work areas. Input orders into cash register system and collect payment from customer. Take orders, record in MICROS ... day. Obtain change required for expected business level. Count bank at end of shift, complete designated cashier reports,...reports, resolve any discrepancies, drop off receipts, and secure bank . Follow all company and safety and security policies… more
- Navy Federal Credit Union (Kissimmee, FL)
- …and prospective members about Navy Federal's products and services + Ensure cash and other negotiable instruments are handled properly + Identify opportunities to ... range, based on your experience, location and market position Bank Secrecy Act: Remains cognizant of and adheres to...of and adheres to Navy Federal policies and procedures, and regulations pertaining to the Bank Secrecy Act. REQNUMBER:… more
- Marriott (Orlando, FL)
- …and roll the date. Process all payment types such as room charges, cash , checks, debit, or credit. Process adjustment vouchers, paid-outs, correction vouchers, and ... or reissue room keys using electronic key machine. Count bank at end of shift and secure bank... bank at end of shift and secure bank . Balance and drop receipts according to Accounting specifications.… more
- Marriott (St. Petersburg, FL)
- …locking doors, etc. Set up, stock, and maintain work areas. Input orders into cash register system and collect payment from customer. Take orders, record in MICROS ... day. Obtain change required for expected business level. Count bank at end of shift, complete designated cashier reports,...reports, resolve any discrepancies, drop off receipts, and secure bank . Follow all company and safety and security policies… more
- Extra Space Storage (Tampa, FL)
- …related to billing, security, auctions, and proper site usage + Handle cash transactions, balance receipts, follow up on delinquent payments, process customer ... payments, and complete daily bank deposits. + Oversee routine administrative tasks, including maintaining...delinquent accounts, monitoring store budgets, and prepare and deliver bank deposits. . + Protect our strong company culture… more
- Marriott (Plantation, FL)
- …and roll the date. Process all payment types such as room charges, cash , checks, debit, or credit. Process adjustment vouchers, paid-outs, correction vouchers, and ... or reissue room keys using electronic key machine. Count bank at end of shift and secure bank... bank at end of shift and secure bank . Balance and drop receipts according to Accounting specifications.… more