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Cashier

External
aksteel logoAksteel · Ferrous Processing And Trading Inkster
Full-timeOn-site2w ago
ExcelSAFe
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Requirements

  • High School Diploma/GED.
  • Excellent mathematical skills required.
  • Ability to perform multiple tasks simultaneously by effectively prioritizing and organizing assignments.
  • Proficient in MS Office programs (Excel, Outlook, Word).
  • Excellent customer service required.
  • Ability to lift 25 lbs.
  • The Cashier must be able to work Monday - Friday and half day on Saturday.
  • Pre-employment background, physical, and hair drug screen required.
  • Cleveland-Cliffs Inc. is an equal opportunity employer - M/F/Veteran/Disability. We are a drug-free workplace and conduct pre-employment screening as a condition of employment.

Benefits

Health insurance

Additional Information

Location: Inkster, MI Ferrous Processing and Trading (FPT) is one of North America's premier processors, buyers, sellers, and recyclers of scrap metals of all kinds and is a key supplier to North America's metals industry. FPT, a wholly owned business of Cleveland-Cliffs, has an immediate opportunity for a Cashier at the Inkster, MI, location. The Cashier is responsible for processing payments and completing the required paperwork for individuals. Summary of Responsibilities: The Cashier plays an important customer service role within the yard by providing timely, friendly, accurate, and safe services to our customers both face to face and telephone interactions. The Cashier is responsible for processing payments and completing the required paperwork for our individual as well as commercial customers. The Cashier will also perform basic office duties as needed. Calculate daily transactions using computerized programs and balance the cash drawer at the end of the day. Generate invoices, itemize lists and tickets noting materials and amounts due, verify weights, prices, and extensions. Provide relief and/or backup duties for the Office Assistant and Weighmaster. Assists with monthly closing reporting and with inventory reconciliation as needed. Reconcile daily transactions and report on the results. Maintain customer counts. Update and manage weekly/monthly performance reports. Other duties as assigned.


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