Gained practical experience in setting up and preparing school bazaars and events, contributing to the overall organization and readiness of the event space.
Assisted with booth and stall setup before events.
Helped arrange tables, chairs, displays, and equipment.
Supported the layout and organization of the bazaar area.
Assisted with moving and positioning materials as required.
Helped with teardown and clearing of the event space after the event.
Worked alongside classmates and staff to ensure the setup was organized, safe, and ready for visitors.
Gained practical experience in managing and tracking bazaar vouchers, maintaining accurate records of voucher distribution and usage during school bazaar activities.
Maintained records of issued and collected vouchers.
Tracked voucher quantities to ensure accurate accountability.
Assisted with voucher distribution and collection during the bazaar.
Monitored voucher usage and kept records organized and up to date.
Checked voucher records to help identify discrepancies or missing vouchers.
Supported the smooth administration of the bazaar's voucher-based transactions.
Gained practical experience in handling and managing a cash box during school bazaar activities, supporting accurate cash handling and basic transaction management.
Assisted with cash collection and payment handling.
Organized notes and coins by denomination for easier counting.
Maintained proper cash organization and accountability.
Assisted with counting and reconciling cash after transactions.
Kept the cash box secure and organized throughout the event.
Supported the smooth operation of cash-based bazaar transactions.
Gained practical experience handling money-to-voucher exchanges during school bazaar activities, ensuring accurate transactions and proper voucher accountability.
Received cash payments from participants.
Exchanged cash for the corresponding value of bazaar vouchers.
Verified cash amounts and voucher quantities before completing transactions.
Maintained accurate records of vouchers issued and cash received.
Organized vouchers by value and denomination for efficient distribution.
Assisted with cash and voucher reconciliation after the event.
Ensured transactions were handled in an organized, accurate, and accountable manner.