Be the representative for accounting and finance queries within the office.
Liaising with HQ and Accounts Dept.
Preparation of Accounting information (training will be given)
Assist in co-ordinating meetings and calling of quotations
General Office administration duties (eg. filings etc.)
Other tasks as assigned by line manager and/or management
Working knowledge on Microsoft Word, Excel, and Power Point essential
Verify and reconcile daily transactions from all revenue-generating departments, including rooms, food and beverage and banquet.
Review and verify Night Auditors logbook, daily revenue report and daily Food & Beverage report with supporting vouchers and trial balance.
Review and reconcile the guest ledger, city ledger and credit card to the Accounts Receivable.
Review the interface between Point of Sale (POS) systems and Hotel Management Systems ensuring that revenue data flows accurately and seamlessly between the systems.
Review of daily no show and cancellation report and ensure that no show and cancellation revenue have been properly accounted for.
Examine daily reports for paid outs, rebates, adjustments, house use, and complimentary rooms to ensure that each transaction is supported by relevant documentation and approved by the appropriate authorized personnel.
Review daily Food & Beverage void and discount reports to ensure all entries are accurately documented and supported by appropriate justification.
Responsible for conducting monthly surprise cash count at Front Office and F&B outlets.
Ensure the foreign currency exchange rates are updated regularly and to check on the accuracy of such rates.