Who is responsible for exporting the End of Day till from the cash register?

Prepare for the Ship's Serviceman (SH) Navy Cash Test. Use flashcards and multiple choice questions. Each question includes hints and explanations. Enhance your test readiness!

The Ship Store Operator is responsible for exporting the End of Day till from the cash register because this role directly involves managing the daily sales and cash transactions within the ship's store. The End of Day process includes summarizing all sales activities, reconciling cash and non-cash transactions, and ensuring that the cash drawer is balanced. This position requires the operator to have a clear understanding of sales operations and cashier duties, which is central to their responsibilities.

While other roles, such as the Sales Officer or Disbursing Officer, may have oversight or secondary responsibilities regarding financial processes, it is primarily the Ship Store Operator who performs the hands-on task of exporting the till data as part of their daily routines. This ensures the accuracy and accountability of the cash handling in the store operations.

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