Key Responsibilities:
• Lead and coordinate daily cash-handling workflows, including deposit preparation, transaction verification, and required documentation.
• Manage and distribute change funds for Admissions, Attractions, Food Service, the Zoo Society, and other revenue-generating operations.
• Research and resolve discrepancies or customer issues involving cash, check, or credit card transactions, coordinating with banks or DNCR as needed.
• Provide operational POS support by assisting with troubleshooting, validating reports, and ensuring accurate cashier-related system entries.
• Train Specialists, Representatives, and Associates in cash-handling procedures, internal controls, and workflow expectations.
• Assign tasks, monitor workload, and support temporary and seasonal staff performing revenue-related duties.
• Support reservations operations as needed during peak periods or staffing shortages.