FA
Job Description
RESPONSIBILITIES:
- Perform end-of-day financial procedures and reconcile all hotel revenue transactions.
- Prepare and distribute daily revenue reports and night audit summary to the Director of Finance
- Balance and verify the accuracy of all income sources against supporting documentation
- Identify discrepancies and correct errors in postings, ensuring financial accuracy.
- Run daily closing procedures in the Property Management System (PMS), Point of Sale (POS), and other financial systems.
- Reconcile credit card transactions, cash deposits, and banking reports.
- Monitor and ensure the accuracy of night audit logs and system backups.
- Ensure compliance with internal controls, financial policies, and standard operating procedures
- Assist with internal and external audit processes by maintaining accurate documentation and records.
- Safeguard confidential financial and guest information.
- Liaise with the Front Office, F&B, and other departments to ensure accurate data capture and posting
- Report anomalies, suspicious transactions, or variances to the Finance Manager or Financial Controller.
- Communicate effectively with the morning shift team to ensure a seamless handover.
