· Daily banking involving the collection of banking envelopes from safe, and the opening, counting and balancing as a whole
· 每日的银行业务,包括从保险箱中收取现金信封,开启,核数,并进行总体结算。
· Maintain record of all Cashiers overages and shortages
· 记录所有收银的长短款。
· Deposit all cash, checks and foreign exchange into the bank
· 将所有收入现金、支票和外币存入银行。
· Process petty cash as required and reconcile weekly
· 按要求处理零用现金,每周进行对账
· Prepare over and under, balance monthly and present to Business Manager of designate
· 准备月度账目的出入和结算,然后呈交给相关的业务经理 。
· Issue and return house bank contracts as required and prepare house bank accounts summary on a monthly basis
· 按要求签发和回收银行合同,并按月准备酒店银行账目总表。
· Process due backs daily
· 每日进行补足出纳备用金的工作
· Maintain petty cash fund and record of disbursement
· 保持酒店备用金的流量正常并作现金支出记录。
· Prepare petty cash payments vouchers and ensure supporting documents are properly attached and explained.
· 填制现金付款凭证并附上有关文件单据。
举报该职位