Administration
Finance – Cash Control and Revenue Audit- Responsible for daily location audits, float building, vault float reconciliation’s, float reconciliation’s and other administrative duties. Applicants will require a security check. Click here for more information:
(hyperlink to the following information:
*Co-op opportunity available
Hours:
- May and June: Sat, Sun, Monday- 8 hours/day
- July and August: 5 days/week, 8 hours/day
- Some part time work in September and October
Wage:
$10.00 to start
Job Description
Revenue Audit and Cash Control is responsible for producing financial reports on a daily, weekly and monthly basis, providing the entire park with appropriate change as needed, building park floats and for providing excellent guest service to both the internal and external guests.
Responsibilities:
- Complete paperwork such as: auditors report, cash summary, bank deposits, timecards
- General cash handling duties as required
- Perform opening, closing and on-going operational duties
- Cash reconciliation’s
- Vault float reconciliation’s
- Float control forms
- Building cash floats for park locations
- Providing change to park
- Preparing bank deposits
Skills and Abilities:
- Team Player
- Organized
- Ability to take initiative
- Positive and professional
- Good with numbers
- Detail oriented
- Accurate
- Cash handling experience (preferred)
- Efficient
Special Requirements:
- Must have own transportation
- Will be required to have a police check
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Human Resources Contact Information
245033 Range Road 33
Calgary, AB T3Z 2E9
Phone: (403)685-6104
Fax: (403)242-3885
E-mail Human Resources
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