Job Description
Job Purpose
Responsible for daily revenue reconciliation across all sales channels, ensuring accurate income reporting, effective cash controls, variance resolution, and full compliance with company policies and VAT/ZATCA requirements within restaurant operations.
Key Responsibilities
- Perform daily end-of-day Z-read and POS revenue reconciliation.
- Reconcile cash, credit cards, and delivery aggregator settlements with bank records.
- Monitor cash handling procedures, conduct float counts, and investigate discrepancies.
- Track daily deposits and ensure timely and accurate recording.
- Prepare daily income summaries and handover reports; support month-end closing activities.
- Ensure compliance with internal controls, company policies, and VAT/ZATCA regulations.
- Maintain audit-ready documentation and support internal/external audits.
- Coordinate with Operations teams regardin...
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