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职位详情

总出纳兼工资主管

4千-6千
  • 湖州-南浔区
  • 2年以上
  • 中专
  • 提供食宿
  • 五险一金
  • 岗位晋升
  • 带薪年假
  • 包吃包住
  • 节日礼物
  • 技能培训
  • 人性化管理
  • 管理规范
  • 员工生日礼物
职位描述
招聘人数:1人
MAJOR FUNCTION 主要功能 :
Basic responsibilities are to maintain a sufficient amount of petty cash to conveniently handle change requirements for the cashier's banks, advancement of wages, and reimbursement of cash for small purchases with hotel limits.
清点每日现金的营业款.维持一定的零钱以便收银员兑换.支付工资.在酒店规定的限额内,做小额的现金报销.
To provide secretarial support and to assist with administrative duties within the Accounting Division.
提供关于秘书方面的工作和协助财务部门的行政工作。
Prepares payroll processing and Statutory Social Security Contribution.
准备工资程序和依法缴纳的社会保险
SPECIFIC DUTIES 工作任务 :
1. To collect with witness assigned by the Director of Finance all remittance envelopes of all sections from the drop safe and verify the remittance against drop records.
与经财务总监安排的证人一同从投币保险柜中提取前一天的收入信封,并与记录对照。
2. To count together with the witness the contents inside the drop envelop and verify with the remittance report.
与证人一起清点现金并与记录对照。
3. To receive all cash and check deposit directly from associates and guests.
从收银员或客人处直接收取现金或支票。
4. To collect from secretary the checks received by mail and to issue official receipt afterwards.
从秘书处接收邮寄支票并开出发票。
5. To prepare the General Cashier Daily Report for review by Income Auditor and Chief Accountant.
制做每日总出纳报告,交日审或总会计师审核。
6. To prepare bank deposits and ensure that all collections are deposited intact.
确保所有收入存入银行。
7. To reimburse Guest Service Agent for Cash Paid Out and Due Backs.
为收银员补回现金支出。
8. To maintain adequate petty cash imprest fund and disburse petty cash requests that have been properly approved.
准备足够零钞与收银兑换。
9. To prepare Petty Cash Daily Report showing the movements of petty cash fund.
制作每日零钞报告显示零钞使用情况。
10. To familiarize with the accounting automation system for posting of payment entries and well verse with the hotel Chart of Accounts.
熟悉酒店电脑系统,根据科目输入付款凭证。
11. To obtain and submit to Director of Finance daily foreign exchange rates from the bank; to secure approval from the Director of Finance to update the foreign exchange rates at the Front Desk according to the bank information obtained.
从银行接收并上报财务总监每日外汇汇率。并更新前台兑换汇率牌。
12. To prepare and submit daily report on foreign exchange transactions to Director of Finance.
汇总每日外币兑换报告并上交财务总监。
13. To notify Director of Finance immediately for follow up should there be a loss on foreign exchange for whatever reasons.
如有外币损失或任何情况,立即报告财务总监。
14. To keep strictly confidential to herself the safe combination numbers and the safety of the mechanical keys.
严格保密保险柜密码及钥匙安全。
15. To assist in other accounting duties when required.
如有需要,协助财务部其他工作。
16. To maintain adequate supply of small changes and Reminbi cash for foreign exchange purpose.
保存足够人民币零钞作外币兑换用。
17. Prints daily and weekly payroll reports produced by the clock system and/or attendance record, and forwards to Managers for approval and key enters data once verified.
打印根据考勤系统或考勤记录形成的工资日报表和周报表,这些都需送至经理处,由他认可方可输入数据。
18. Processes payroll adjustments for vacations, sick leave, records of employment, and rate changes.
处理在休假、病假、雇佣情况以及可能发生的其他变化的工资调整。
19. Records and tracks days worked for part-time associates to determine which associates are due to be paid for statutory holidays.
记录兼职工作者的工作日,算出哪些法定假日的工资应该支付给员工。
20. Enters gratuity and bonus amounts into system after verifying that the figures from Accounting and respective departments balance.
由财务部和其他部门经过确认之后的小费和奖金数输入到系统中。
21. Processes help-desk forms into system using correct code and rate information.
使用正确的代码和汇率信息按一定顺序由咨询处输入电脑。
22. Reconciles and adjusts payroll records for errors, and researches and corrects discrepancies on pay cheques.
把一些错误的工资记录调整正确,同时有差异的地方审查并修改正确后方可支付支票。
23. Forwards diskettes and hard copy documentation to payroll company for processing.
用磁盘和文本复印件的方式交与工资部门去审阅。
24. Separates and balances pay cheques by department, distributes cheques to department heads and assists Managers with payroll questions and concerns.
部门在支付支票时,把支票交与部门领导,经理协助工资相关事宜。
25. Maintains payroll files for input and output data.
保护工资输入和输出的数据。
Payroll Reporting工资报表
1. Prepares and key enters period-end date, consisting of actual pay period data and accrued pay period date, plus adjustments to bring previous period accrued data in line with actual figures.
准备和输入整个月的数据,包括整月实际发生的数据以及准备预提的数据,加上先前已预提的数据和实际发生数据的调整。
2. Prepares payroll journal entries and reconciles general ledger accounts.
准备工资日记账的输入并且和总帐帐户数保持一致。
3. Prepares government payroll reports including year end tax statements.
准备政府工资表包括年末税单。
4. Provides employment and immigration with earning reports.
录用和移民需提供收入证明。
5. Prepares payment for associate gamishes, and provides information for financial reference checks.
准备财务方面调查的资料。
6. Tracks and updates performance requirements throughout the hotel.
记录和更新酒店在执行规定方面的情况。
7. Others其他
To respond to the changes in department functions as dictated by the industry, the company or the hotel.
适应行业,公司,或者酒店对于部门职责变动的要求。
To provide courteous and professional service and to maintain good working relationships with all hotel associates.
提供有礼的,专业的服务以及保持公司同事之间的友好关系。
To have a complete understanding of the hotel associate handbook and to adhere to the regulations contained therein.
充分了解酒店人事手册内容和遵守其中的要求。
To have a complete understanding of the hotel policies relating to fire, safety and hygiene.
充分了解酒店关于防火,安全以及卫生方面的相关政策。
To carry out any other duties and responsibilities as assigned.
执行分派的其他工作。

其他要求

  • 国际联号工作经验:优先
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浙江省湖州市南浔区南浔镇年丰路1388号
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