We are looking for a trustworthy and detail-oriented Cash Manager to oversee cash handling, billing, reconciliation, and daily financial controls. The Cash Manager ensures accurate cash flow management, minimizes discrepancies, and supports smooth front-end financial operations.
Manage daily cash collections, billing, and POS transactions.
Ensure accurate cash reconciliation with POS reports and sales summaries.
Monitor and control cash drawers, safes, and deposits.
Handle UPI, card, wallet, and online payment reconciliations.
Prepare daily, weekly, and monthly cash reports.
Investigate and resolve cash shortages or discrepancies.
Coordinate with accounts and audit teams for compliance.
Ensure adherence to internal controls, SOPs, and financial policies.
Support outlet managers during peak hours and shift changes.
Train cashiers on proper cash-handling procedures.
Bachelor’s degree in Commerce, Accounting, or Business (preferred).
2–5 years of experience in cash handling, billing, or finance operations (café/QSR experience preferred).
Strong knowledge of POS systems and payment gateways.
Good working knowledge of MS Excel and basic accounting.
High level of integrity and attention to detail.
Experience in multi-outlet café or restaurant operations.
Ability to work under pressure and manage peak-hour transactions.
Strong analytical and problem-solving skills.
Good communication and coordination abilities.