General Cashier
總出納
1.?To collectand count with a witness the contents of all cashiers’ daily remittanceslips.?
與見證人一起收取并清點(diǎn)所有收銀員的每日繳款袋內(nèi)內(nèi)容。
2.?To depositdaily revenue to bank on a daily basis.
每天將每日收入存入銀行。
3.?To preparethe Daily General Cashier’s collection and deposit report and post to SUN.
編制每日總出納收款與存款,并錄入SUN系統(tǒng)。
4.?To provideall cashiers with required change, including extra changes for long weekends orspecial occasions.
為所有收銀員提供零鈔,包括在長周末或特殊時(shí)期需用的額外零錢。??
5.?To reimburseFO cashiers for disbursements made by them.
償還前廳收銀員墊付出的款項(xiàng)。
6.?To maintainthe General Cashier’s house fund.
保管總出納備用金。
7.?To exchangelocal currency or small notes for FO and F&B cashiers.
為前廳及餐飲部收銀員更換本國貨幣或小額鈔票。
8.?To prepareDaily Foreign Currency Collection Report.
編制每日外幣收銀報(bào)告。
9.?To receivecash and checks for advance deposit and city ledger payments.
收取預(yù)存和支付掛賬的現(xiàn)金和支票。
10.To pay pettycash, cash advance, or payments to suppliers for amount below Rmb500.
支付低于人民幣500元的零用金、現(xiàn)金預(yù)支、或應(yīng)付供貨商款。
11.To monitorthe exchange rate fluctuation and report to Area Financial Controller.
監(jiān)督匯率浮動(dòng),并向區(qū)域財(cái)務(wù)總監(jiān)匯報(bào)。
12.To count FOand F&B cashiers’ house fund on a monthly and random basis.
每月隨機(jī)清點(diǎn)前廳與餐飲部收銀員的備用金。
13.To reconcilethe House Fund and Cash-in-Bank accounts.?
調(diào)整備用金與銀行現(xiàn)金賬戶。
14.To assist ChiefAccountant, Paymaster Supervisor withother job-related matters
接受總會(huì)、薪資主管安排的與工作相關(guān)其他事宜。
15.To guide,advise and manage cashier staff.
對(duì)收銀員工做出指導(dǎo)、給出建議,進(jìn)行管理。