Position Overview
Responsibilities
- Collect, verify, and reconcile daily cash, cheque, and credit card collections from all outlets and departments.
- Prepare daily bank deposits and ensure timely submission to the bank.
- Maintain accurate records of cash receipts, petty cash, and float funds.
- Conduct surprise float counts and cash audits as required.
- Ensure all cash handling procedures comply with resort policies and internal controls.
- Reconcile daily cash summaries with Opera/POS/system reports.
- Investigate and report any cash discrepancies immediately.
- Prepare journal entries and assist with monthβend closing activities.
- Maintain proper filing and documentation for all cashiering records.
- Coordinate with Front Office, Food & Beverage, and other operational departments regarding cashiering matters.
- Assist in processing monthly payroll for all associates accurately and within deadlines....