Cash Office Manager

SSP Group

📍 Dublin, County Dublin, Ireland

Full-time Financial Clerks

Job Description

About the Role

We are looking for a Cash Office Manager to oversee the cash office function across our Dublin Airport operation. This role is responsible for managing cash reconciliation processes, monitoring revenue controls, investigating variances, and ensuring compliance with company procedures and financial controls.


The successful candidate will play a key role in supporting operational teams by maintaining accurate cash management processes and ensuring the integrity of revenue reporting. The role will be reporting to Regional Cash Officer Manager.

Key Responsibilities

  • Cash variance analysis between till systems and source data, providing narrative and explanations to the Regional Cash Office Manager

  • Monitoring cash loss, voids, discounts and returns by colleague and reporting these to the Unit Manager and OM

  • Escalating trending issues or values above tolerance to RCOM and/or the Loss Preventions team...
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