1.?????Toprepare the General Cashier Daily Report for review by Income Auditor and ChiefAccountant.
制做每日總出納報告,交日審或總會計師審核。
2.?????Toprepare bank deposits and ensure that all collections are deposited intact.
確保所有收入存入銀行。
3.?????Toreimburse Guest Service Agent for Cash Paid Out and Due Backs.
為收銀員補(bǔ)回現(xiàn)金支出。
4.?????Tomaintain adequate petty cash imprest fund and disburse petty cash requests thathave been properly approved.
準(zhǔn)備足夠零鈔與收銀兌換。
5.?????Toprepare Petty Cash Daily Report showing the movements of petty cash fund.
制作每日零鈔報告顯示零鈔使用情況。
6.?????Tomaintain a strict confidentially of all associates payroll records. Under nocircumstances is such information to be communicated to anyone without theapproval of Director of Finance or Assistant Financial Controller.
嚴(yán)格保密所有員工工資。未獲得財務(wù)總監(jiān)或助理財務(wù)總監(jiān)的批準(zhǔn),在任何情況下不得向其他同事透露這方面的信息。
7.?????Tobe able to handle skillfully office automation software such as Words, Excel,Shiji Personnel and Payroll both in Chinese and English version.
能夠嫻熟地使用辦公自動化軟件例如Words, Excel 、石基員工考勤及工資軟件的中英文版本。
8.?????Toupdate daily attendance record.
每日更新入職員工記錄。
9.?????Toensure the overtime and other wage adjustments are properly authorized.
確保加班費(fèi)和其他關(guān)于工資的調(diào)整得到相應(yīng)的授權(quán)批準(zhǔn)。
10.?????Toprocess monthly and yearly income tax calculation for associates.
為員工計算和申報每月及每年的個人收入所得稅。
11.?????Toprepare and to ensure all monthly payroll reports are correct; to assistdepartment heads in resolving any discrepancies and dispute from associates.
制作并確保每月工資報表正確無誤。協(xié)助部門領(lǐng)導(dǎo)解決任何員工關(guān)于工資方面的差額的詢問和爭議。