Full job description

Job Responsibilities & Experience:

  • Managed daily cash operations for the hotel, including collection, counting, verification, and secure storage of cash.
  • Prepared daily cash summaries and reconciled cash receipts with system reports (PMS/POS).
  • Handled foreign currency exchange and ensured accurate conversion and documentation.
  • Issued cash floats to outlets and collected returns at the end of shifts, ensuring proper reconciliation.
  • Coordinated with Front Office, F&B, and other departments regarding cash discrepancies and corrections.
  • Deposited daily cash and cheques into the bank and maintained bank deposit records.
  • Maintained proper documentation in compliance with hotel policies and audit requirements.
  • Assisted with month-end closing procedures and internal/external audits.
  • Ensured strict adherence to internal controls, cash handling policies, and financial procedures.
  • Reported variances, shortages, or overages promptly to the Finance Manager.

Key Skills:

  • Cash handling & reconciliation
  • Hotel PMS/POS systems
  • Attention to detail & accuracy
  • Knowledge of accounting procedures
  • Confidentiality & integrity

Job Type: Full-time


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