Cash Verification Specialist
Flynn Restaurant Group
**Position Description**
This position will be primarily responsible for handling the sales audit of revenue activity of the restaurants for designated market(s).
**Essential Duties and Responsibilities**
+ Review cash files to ensure all locations are loaded into SAP and Kyriba (treasury workstation)
+ Review bank files to ensure we received files for all locations into Kyriba
+ Reconcile the cash file to the bank file daily per location
+ Research any differences between the cash and bank file and reach out to the appropriate parties to resolve differences
+ Prepare weekly and monthly cash over/short reporting and discuss with the operations group
+ Gift card support
+ Performs other duties as assigned or requested
**Qualifications**
+ Proficient in Microsoft Office applications (Excel, Word and Outlook)
+ Strong Research & Problem Solving Abilities
+ Strong Communication Skills - Verbal, Written and Phone Skills
+ Education: Min - High School Diploma. Associate Degree Accounting/Finance preferred
+ 2 - 4+ years in an accounting/office environment
+ 2 years of Journal Entry preparation (Debit/Credit knowledge)
+ Knowledge of bank reconciliation software package preferable but not required.
**Why Work for Flynn?**
Flynn Group offers a variety of benefits and perks to encourage and empower our employees. We are committed to helping each employee work and live to his or her fullest potential. We offer a variety of benefits and perks while working for us:
+ Medical / Dental / Vision
+ Retirement and Savings Plan
+ Short and Long Term Disability
+ Basic Life Insurance
+ Voluntary Life Insurance
+ Tuition Reimbursement
+ Paid Time Off
+ Flexible Work Schedules
+ Company Outings
+ Dining Discounts
+ PC/Laptop Assistances
+ On-Site Fitness Center
+ On-Site Daycare
+ On site Cafe
+ FUN Work Environment!
**The Flynn Group is an Equal Opportunity Employer**
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