·???????? Review and correction of daily revenue journal.
審閱并修正收入日報。
·???????? Review Revenue (back page) balance sheet weekly.
每周審閱收入(每日收入對賬表)平衡表。
·???????? Review, investigation and input of back page item.
審閱、調查和輸入每日收入對賬表科目。
·???????? Control of accommodation advance deposits.
控制住宿預付定金。
·???????? Monitoring of house banks and investments
監(jiān)控庫存現(xiàn)金和投資。
·???????? Analysis and investigation of cashier’s over and short.
分析和調查出納的現(xiàn)金長短款。
·???????? Investigation and input of bank statement data.
調查和輸入銀行對賬單數(shù)據(jù)。
·???????? Bank reconciliation: agency and replacement reserve.
銀行存款余額調節(jié)表:傭金和更新準備金。
·???????? Review of accounts payable monthly inventory reconciliation.
檢查每月應付賬款存貨對賬表。
·???????? Review of accounts payable purchases journal.
檢查應付購貨款月報。
·???????? Review of travel agency commission payments.
檢查旅行社傭金的支付。
·???????? Maintenance of replacement reserve cash book.
保管更新準備金的現(xiàn)金簿。
·???????? Asset Purchase / Disposal reporting to Owners.
向業(yè)主報告資產的購置和處理。
·???????? Month End Close.
月末結算。
·???????? Review of F&B Control reconciliation and journal and interface / input to General Ledger.
審閱餐飲控制對賬單和月報并將數(shù)據(jù)輸入總分類賬。
·???????? Review of accounts payable and interface to General Ledger
審閱應付賬款并輸入總分類賬。
·???????? Preparation of month end journals.
準備月末分錄。
·???????? Participation in month end review.
參與月末復核。
·???????? Review and prepare final input in the General Ledger from various sources.
審閱并準備從各種原始資料輸入總分類賬的最后數(shù)據(jù)。
·???????? Review general ledger and Financial Reports.
審閱總分類賬和財務報告。
·???????? Prepare balance sheet record and identify and reconcile all items therein.
準備資產負債表,確定和核對表中的所有科目。
·???????? Prepare bank reconciliation such as agency, imparts and replacement reserve.
編制銀行存款余額調節(jié)表,如傭金、預付款和更新準備金。
·???????? Invoice all non-trade receivables.
為所有非交易應收款項開據(jù)發(fā)票。
·???????? Payroll Auditing.
工資審計。