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职位详情

Income Audit Manager 审计经理

6千-8.5千
  • 广州
  • 经验不限
  • 学历不限
  • 提供食宿
  • 五险一金
  • 技能培训
  • 带薪年假
  • 管理规范
  • 包吃包住
  • 员工生日礼物
  • 岗位晋升
  • 法语培训
  • 体验法式优雅
职位描述
招聘人数:1人
Verify accurate completion of daily Gross Revenue Report.
完成每日总收入报表。
Verify accurate completion of daily covers and Food & Beverage Statistics reports.
完成每天的餐饮收入统计报表。
Investigate any discrepancies of cash and recorded on file.
核算多出和缺少的现金并作存档。
Audit daily F & B and Front Office revenue figures and support documents, daily cash summary and credit card charges.
审核每日餐饮及前台收入报表及其凭证,每日收银报表和挂账报表。
Post all employees discounts and hospitality charges to various departments. Report any deviation entertainment and office check and telephone used to Director of Finance.
审核每个部门的招待用及打折情况,发现有任何不符合酒店制度的招待及工作餐及电话使用应向财务总监汇报。
Ensure effective control over restaurant and front office cashier sections. Oversee proper record-keeping procedures of all sales transactions and submissions of total sales and supporting documents by Cashiers, as well as compliance with internal regulations and procedures.
确保餐厅及前台收银的现金状况正常,并根据酒店规则核对所有收入的单据。
Maintain a manual reconciliation of Guest Ledger and City Ledger.
对客人挂账和开放式挂账进行核对分析。
Assist in the training and mentoring of new Front Desk and outlets cashier.
负责培训新进的前台及餐饮收银员。
Prepare Daily analysis of office check / entertainment breakdown and fill up Office Check & Entertainment summary to Cost controller, Financial Controller and General Manager.
汇报日常的工作餐或招待费用状况并填写汇总表于成本控制主管及财务总监和总经理。
Verify General Cashier daily deposits.
检查总收银日常备用金。
Responsible for check Front Office A/R in miscellaneous.
负责检查前台的杂项挂账。
Responsible for buy hotel invoice, invoice using and all invoice be recorded property.
负责控制酒店的发票购买,使用并登记。
Ensure all revenue be claimed by cash and A/R, distribute monthly hotel revenue Journal to Chief Accountant.
月底时与总收银核对收入现金并向总账主管上交每月收入转账凭证。
Ensure the operation correctly of Front office staffs and correct the mistakes.
确保前台员工正确操作并纠正错误操作。
Responsible for inspect the coupons during special promotion of hotel.
负责在酒店特别推广活动期间的票据审核。
Prepare and route miscellaneous and rebate vouchers, duty meal checks, entertainment checks, admin call accounting report and paid-out vouchers to the following individuals:
准备和发送杂项收费单和退款单,及当值班餐收费单,招待收费单,电话记录表和支付凭证给以下人员。
General Manager
总经理
Director of Finance
财务总监
Assist General Cashier’s bank audit once a month.
每月一次参与核查总收银银行账目核查。
Check hotel miscellaneous income.
审核酒店的杂项收入。
Reconcile Food and Beverage recapitulations report.
制作餐饮收入分析报表。
Spot checks outlets cashier floats twice a month.
每月两次检查餐厅收银的流动金。
Spot checks Front office cashier floats twice a month.
每月两次随机检查前台收银的流动金。
Ensure all hotel policies and procedures are adhered to.
遵守酒店所有的操作程序,并严格执行。
Promote and encourage the use of Quality process to resolve issues which may arise.
推广和鼓励用有质量的方法解决问题。
Perform common duties as may be assigned by management.
履行由管理层指定的应尽职责。
Perform other related duties & special projects as assigned by the supervisor
随时执行上级分配的其他相关任务或特殊项目

其他要求

  • 语言要求:英语-良好
  • 计算机能力:熟练
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工作地点

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广州市天河区广州大道中988号
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