Job Description
Job Description
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- Accurately process guest payments (cash, credit card, room charges, and vouchers)
- Ensure correct posting of revenues to the relevant outlets and accounts
- Perform daily cash handling, float control, and end-of-shift reconciliation
- Prepare daily sales reports and submit cash deposits in line with finance procedures
- Coordinate closely with the Finance team on audits, discrepancies, and reporting
- Maintain strict compliance with internal controls and SOPs
- Support outlet operations during peak periods when required
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