Income Auditor
Core
Collect and verify daily cash remittances, manage cashier floats, process bank deposits, and maintain cash fund balances in a hotel environment.
Role type
Income Auditor (Cashier Operations)
Builds
Daily cash reports, bank deposits, and float records for hotel front office and support departments.
Domain
Hospitality / Financial Operations
Required skills
Cash handling, float management, bank deposit processing, MS Excel, accounting systems, English proficiency
Preferred skills
Attention to detail, team collaboration, self-motivation
Responsibilities
Collect and check daily remittances in the presence of a witness, Ensure sufficient change for all cashiers, Update foreign exchange rate and make bank deposits, Prepare General Cashier Daily Report, Reimburse Front Office cashiers for disbursement made, Make petty cash payments on designated days, Balance cash fund daily, Conduct surprise float count on all cashier holding floats, Maintain over and short records for each cashier, Update all cashiers float record on a monthly basis, Keep track of casual labour, valet dockets, official receipt book and movement records