Performs cash/coin transactions. Exchange chips for cash, cash for chips and EZ Pay tickets and coin for currency. Check cashing transactions. Assists customers in completion of check cashing applications. Credit card cash advances using specific guidelines. Verifies opening & closing balance of Imprest banks at beginning & end of shift. Balances their VLT and Imprest bank at the end of their shift. Responsible for chips/cash in assigned window. Responsible for conducting fills/credits. Maintain a neat and well-stocked window for next shift. Cash - Chips - Supplies. Responsible for processing transactions accurately and maintaining window variances to a minimum.