Job Description - Branch Cashier

1. Receipt of Cash and Check Payments 

  • 1.1. Receive, process, and apply cash, check, and credit card payments to client accounts receivable within the core system, ensuring the accurate issuance of Official Receipts (OR). 
  • 1.2. Accept post-dated checks (PDCs) from clients and issue corresponding Acknowledgement Receipts (AR). 
  • 1.3. Log and update the complete details of received PDCs into the tracking system. 
  • 1.4. Coordinate and assist in issuing ORs for special transactions requiring management approval or specific instructions from other units/sales offices. 

2. Post-dated Check (PDC) Management and Monitoring 

  • 2.1. Perform system account balance and policy/invoice inquiries upon receipt of PDCs to verify outstanding amounts. 
  • 2.2. Encode accurate PDC data into the monitoring system. 
  • 2.3. Coordinate directly with the Credit & Collection Unit (CCU) to secure approvals for PDCs placed on hold. 
  • 2.4. Transmit physical PDCs to the Head Office (HO) regularly within the established Turnaround Time (TAT), and email the updated PDC Monitoring Report to the Payment Application Unit (PAU-HO). 

3. Preparation of Reports 

  • 3.1. Prepare daily collection reports, ensuring the completeness, accuracy, and proper filing of all supporting documents and attachments. 
  • 3.2. Upload all validated files daily to the designated End-of-Day (EOD) folder for review and audit by PAU-HO. 

4. Deposit Management 

  • 4.1. Ensure all daily collections are securely deposited into authorized bank accounts and accurately recorded in the financial system. 

5. BIR Form 2307 Management 

  • 5.1. Accept, process, and apply Certificate of Creditable Tax Withheld at Source (BIR Form 2307) in a timely manner, ensuring strict compliance with prescribed accounting standards and tax regulations. 

6. Cash Counting and Petty Cash Control 

  • 6.1. Conduct daily physical cash counts of the Petty Cash Fund, reconciling actual cash against outstanding vouchers, and prepare daily cash count reports to maintain fund integrity. 

    Shift: Dayshift
    Setup: Onsite
    Location: Manila

    By Applying, you give consent to collect, store, and/or process personal and/or sensitive information for the purpose of recruitment and employment may it be internal to Cobden & Carter International and/or to its clients.
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