Keeping documents, records, and sales and expense invoices in their respective files.
Generating reports on outstanding sales and debts, raising reports on cash operations, including daily expenses and revenues, and delivering checks and cash to the authorized person for deposit in the bank.
Scanning orders and products and ensuring the accuracy and correctness of prices and quantities.
Assisting customers with their inquiries, returning their remaining money, helping them if they want to return or exchange goods, and providing them with necessary information about products and offers.
Welcoming customers and assisting them in placing goods in the designated area at the point of sale.
Packaging orders securely and placing them in bags.