OverviewUnder the direction of the Cage Shift Manager and Supervisor, the incumbent is responsible for controlling and accounting of transactions for the cage windows and general cashiering windows. Performs high volume cash and non-cash transactions for our guests and internal customers in a courteous, accurate, and timely manner.Responsibilities* Responsible for the imprest bank issued. Perform guest and in house monetary transactions.* Balance and issue imprest banks issued to F&B and Hotel team members.* Enter patron transactions into the company computer system accurately.* Prepare paperwork, balance sheets and documents in accordance with the NJ Gaming Regulations and within the guidelines of Internal Controls.* Transfer cash, chips and checks between cages and/or departments in an accurate and efficient manner.* Strictly adhere to department policies and procedures in order to maintain integrity of the Cage operation. Apply accurate transaction and balancing practices.* Participate in the daily cage reconciliation process.* Comply with Federal Title 31 laws.* Demonstrate a commitment to ensuring responsible gaming and responsible alcohol service by discreetly notifying appropriate managers of concerns and observations.* Demonstrate actions and behaviors that reinforce the Company's Mission and Values of Communication, Integrity, Fun, Respect, Accountability, Passion and Dedication.* Promote positive public/team member relations at all times.* Maintain a clean, safe, hazard-free work environment within area of responsibility* Performs all other duties as assigned.Qualifications* High School diploma or equivalent and six (6) months of cash handling experience required.* Cage operations experience preferred.* Ability to add, subtract, multiply and divide by fractions, whole numbers and decimals.* Must possess or have the ability to obtain a valid New Jersey Casino Service Registration.
Location/Region: Atlantic City, NJ (08401)