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    • Operate point of sales cash registers.
    • Tint paint and custom color match using the latest computerized color RX systems.
    • Count Inventory on mthly bases.
    • Ability to earn daily cash bonuses.
    • Develop and execute sales strategies that maximize acquisition for our partners.
    • At least 18 years of age.
    • Average Compensation: $600–$2,000/week (base salary + performance bonuses + daily cash incentives).
    • This role offers a competitive base salary plus performance-…
    • ✓ Financial reporting and cash flow tracking.
    • North York, ON | Full-Time | On-Site*.
    • To show your attention to detail, include the word "Refresh" in your…
    • Manage cash handling procedures accurately and securely.
    • Experience with cash handling and POS systems.
    • The Four Seasons is seeking a professional and dedicated…
    • This role involves managing a team, maintaining accurate financial records, and collaborating across departments to optimize cash flow and account…
    • Drivers can cash out any time and enjoy flexibility with no hourly requirement.
    • New drivers in Toronto earn a $250 bonus for 25 rides in 30 days.
    • Greets customers, conducts cash, debit, or credit transactions with customers and provides a receipt.
    • Reporting to the Lead Cashier, the Customer Service…
    • Prepare daily collection report and submit with cheques/cash/card receipts to finance.
    • Oxford College Scarborough Campus is seeking an experienced Financial…
    • Manage and reduce excess inventory to improve cash flow efficiency.
    • We are seeking a detail-oriented and experienced Buyer to support our die and mold machining…
    • Implement opening and closing procedures, cash handling, and POS management.
    • The Café Manager oversees the café’s daily operations, manages staff, maintains…
    • Use all operational tools to plan for and achieve excellence in staffing, monthly reports, cash management and inventory management;
    • Monitor AR, AP, and cash flow forecasts.
    • Prepare accurate financial statements (P&L, balance sheet, cash flow).
    • ERP experience required (Epicor or similar).
    • Facilitate and organize set up for functions, opening and closing procedures, nightly cash out procedures, and related financial reports.
    • Actively hedge positions using cash, futures, and repo markets;
    • Identify and execute relative value trading opportunities, including curve trades, asset swap…