للتقدم للوظيفة : رابط الوظيفة من هنا.
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- Reconcile house fund on a daily basis and keep the safe neat and tidy
- Open every morning the Front Office safe depository, in the presence of a designated Finance employee and Front Office Manager / Night Manager and collect the deposit envelopes, which are checked against the deposit sheet
- Report immediately any envelope missing to the Director of Finance / Financial Controller
- Check each item in the envelope against the enclosed list and any differences should be listed in the over / short column provided on the deposited sheet
- Report immediately any discrepancies to the Director of Finance / Financial Controller
- Liaise with the money exchange company and exchange all foreign currency with the local currency.
- Review and verify Night Auditors logbook, daily revenue report and daily Food & Beverage report with supporting vouchers and trial balance
- Distribute daily reports after obtaining Director of Finance / Financial Controller’s approval
- Review rage variance report in order to ensure the correct rate is applied
- Review the city ledger and credit card transfers of the day and pass the same to the Accounts Receivable
- Audit the daily cash summary and update General Cashier’s report
- Review overages and shortages of Cashiers and take appropriate action and review Front Office foreign exchange rates as and when required
- Conduct float counting of all house fund holders on a weekly basis and prepare a monthly float count summary.
- Support the Account Payable and Account Receivable.
Degree in Accounting or finance, any accounting certificate is an a plus. 2-3years experiences in similar roles. Excellent verbal and written English communication skills. Computer literacy is a must, while knowledge of Opera, Micros, FBM and SUN System is an asset.
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