General Cashier

Yootake Import Express

Vacancies

  • 5

Job Context

  • JOB Location : Dhaka , Mohammadpur

Job Description

  • Reporting to the Chief Accountant, responsibilities and essential job functions include but are not limited to the following:
  • Reconciling daily cash submissions from the various departments in the hotel and for consolidating the bank deposits daily.
  • Ensuring that all cash-handling employees have adequate monetary change throughout their work shifts.
  • Performing house bank audits as required by the Company's policies and procedures to ensure the safeguarding of all hotel cash.
  • Conduct self in a professional manner at all times to reflect the high standards of the Company.
  • Must be willing to work a flexible schedule in order to accomplish all major responsibilities and tasks.
  • Must have excellent cash handling skills evidenced by no overages and shortages.
  • Must have a commitment to follow all local and corporate policies and procedures as they relate to this position.
  • Must work in a safe, prudent, and organized manner.
  • Count and verify daily cash receipts that are submitted from individual cashiers.
  • Document the reconciliation of all cash receipts to the PMS system and complete or assist in the completion of the daily cash over and short report.
  • Consolidate and prepare the daily bank deposits in a timely manner.
  • Provide monetary change to personnel with hotel floats. Issue due-backs to hotel cashiers as required.
  • Perform daily count of the main house bank and document all of these results. Send a copy to the appropriate accounting manager. The total must include banks issued and must tie to the general ledger house bank account.
  • Prepare and maintain Over/Short Report by cashier on a daily basis and forward to Chief Accountant at month-end.
  • Maintain a daily cash over/short log.
  • Prepare and maintain Over/Short Report by cashier on a daily basis and forward to Chief Accountant at month-end.
  • Count and document all hotel floats quarterly, on a surprise basis, in the presence of the float holder as required by the Company's policies and procedures.
  • Prepare a quarterly summary of float counts.
  • Maintain current house bank agreements. Issue cashier safety deposit boxes for bank safekeeping, as required.
  • Control and maintain gift certificates and travel voucher inventories.
  • Report all cash discrepancies to the Chief Accountant immediately.
  • Prepare and maintain a log on all issued house banks.
  • Conduct house bank audits on a regular basis according to established guidelines.
  • Make petty cash disbursements according to established guidelines.
  • Resolve any deposit discrepancies directly with the bank while keeping the Chief Accountant aware of the status of said discrepancies.
  • Count the General Cashier's bank as per policy and report all counts / discrepancies to the Chief Accountant.
  • Assist in cashier training and be available as needed to support cashiers in resolving problems in cash handling procedures.
  • Strictly adhere to the hotels procedures for cash handling, cheque cashing and petty cash disbursements.
  • Ensure that current exchange rates are posted and all foreign currencies and cheques proceeds are deposited on a timely basis.
  • Conduct self in a professional manner at all times to reflect the high standards of the Company.
  • Perform any additional duties as assigned by department Manager.

Job Requirements

Required Skill

  • Accounting
  • Banking
  • Marketing
  • Software

Required Qualification

  • Master of Commerce (MCom)

Experience

  • 4 Year to 0

Salary

  • 23000TK to 25000TK / Monthley
  • Details: Fixed Salary
  • Others Benefit: 2 Festival Bonus

Copyright © Formaljobs.com, 2018