• Account Payable and Payment System.
• Vat Report and Reconcile GL.
• Issue Invoice and billing for breakfast and sign bill to room .
• Reconcile Bank statement with GL. Reconcile Bank Credit Card with GL.
• Prepared check payments against invoices and deliveries.
• Purchase Order System : Approval / Receive Invoice / Post to A/P System • Check Inventory for food, beverage and wines and key in to excel file.
• Pay in Cash (daily)
• Petty cash fund (keep fund / reimbursed/issue cheque/record on GL)
• Check bank statement.