1.Audit the daily revenue figures, supporting reports and vouchers as well as Audit the daily General Cashier’s Report.
审计每日收入数据,支持报告和凭证;
2. Ensure that Daily and Monthly revenue and settlement reconciliation is prepared on a timely basis and all revenue is captured and reported.
确保每日及每月收入和付款及时调节;
3. Ensure all gifts or entertainment voucher are controlled as per the policy.
确保每日及每月收入和付款及时调节;
4.Review all entertainment dockets and officers checks, ensuring that all are authorised and signed and have appropriate level of detail.
确保所有礼券或免费券根据政策得到控制;
5.Check that complimentary rooms have been appropriately authorised.
审查所有宴请账单及高职用餐,以确保所有被授权和签署并有合理的解释;
6.Audit the telephone and internet interface reports to ensure all the respective revenue has been posted.
审计电话自动挂账报告以确保所有电话收入已被挂账
7. Ensure the relevant Front Office & Outlet reports are printed, audited and filed in chronological order.
确保相关前台人员和零售点报告被打印,审计并按日期存档;
8.Verify transactions posted in the daily report, including but not limited to credit cards, city ledger, crew allowances, paid outs, allowances & rebates, miscellaneous charges, voiding, car park revenues, and room safe keys.
核对挂入每日报告中的交易,包括但不限于信用卡,城市分类帐,员工折扣,支出,折扣及减免,杂费,作废,停车场收入及房间安全钥匙;
9.Prepare rebate and allowance summary and rebate journal.
准备折扣和减免汇总表及减免凭证。
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