+ Audit and verify all daily revenue transactions across Rooms, Food & Beverage, and other operating departments + Ensure all revenues are fully captured, supported, and recorded accurately in the relevant systems + Review and validate all adjustments, rebates, paid-outs, and void transactions in line with IHG policies
**Financial Reconciliation & Reporting**
+ Prepare and distribute the Daily Revenue Report in a timely and accurate manner + Reconcile revenue postings between PMS, POS, and supporting documentation + Investigate and resolve discrepancies, ensuring proper follow-up and documentation
**Cash, Credit & City Ledger Monitoring**
+ Verify daily cash collections and credit card transactions for accuracy and completeness + Review city ledger postings, house accounts, and complimentary transactions to ensure proper authorization + Support effective control...