Verify daily night audit reports, restaurant POS reconciliations, banquet billing files, and room collections.
Reconcile daily cash and credit card settlements from outlet cashiers; manage bank deposits and petty cash.
Required Candidate profile
GST returns (GSTR-1, GSTR-3B)
P&L; accounts, food & beverage cost reconciliations, and payroll disbursement.
Process vendor payments against verified purchase orders, delivery challans,
📌 Accounts Manager Hotel Industry Mumbai (India)
🏢 Qween
📍 India