Night Audit / End of Day process in Hotels
The Front office Audit is usually referred as Night Audit because
hotels generally perform it during the late evening hours. Before the
implementation of automated front office systems, The most convenient time to
perform the audit was during the late evening and early morning hours, This
helps the front office personal to work with minimal interruption and also most
of the hotel outlets and revenue centres are closed during this time.
The audit is a daily review of guest account transactions recorded
against revenue centre transactions. The routine helps guarantee the accuracy,
reliability and thoroughness of front office accounting.
Night audit is generally comprised with the below functions:
Shift Commencement:
·
Taking the shift handover from the evening shift.
·
Counting and tallying the cash float.
·
Printing essential Shift reports.
·
Opening the Night audit Cashier.
·
Reading the Log book and also listing down any pending tasks /
follow ups from the evening shifts.
·
Look for any uncleared traces for the day and take necessary
actions.
Balance Food And Beverage outlets:
·
The Outlets will close their day, hand over the Check copy
and drop the cash collection at front desk.
·
Print the Outlet wise sale report from the Front office software (
PMS) and tally / balance the revenues with similar report from the Point
of Sale ( POS ) software. This will ensure that all revenues generated at the
POS has been captured by the PMS.
·
If there is any missing checks then the same has to be posted
manually, Like wise any duplicate postings has to be voided.
·
Tally the cash posting in PMS and print the cash receipt for the
dropping done by restaurant team.
·
Check if there is any Tips for the restaurant staff on credit
card, Handover the same after making the corresponding paidout entry on the
system.
·
Once all restaurants had dropped their cash check out the Payment
Master room ( PM ) for Cash, Credit Card and City Ledger. ( Eg: 9001, 9010,
9015 etc.)
·
Check the lost posting PM to see if there is any lost interface
posting lying on the folio.
·
Check-out the Lost posting PM room after taking any corrective /
allowance.
Audit and keep things ready for the End of Day:
·
Keep the duplicate copy of restaurant checks sorted according to
the floor number / Room number and place them on to the respective rooms
folders / slots.
·
Print the Payment made today by all Method of Payments ( Cash,
Credit card, Bill to Company etc. ) and tally the same with corresponding
payment for the day.
·
Take out all Invoice generated for the day and Tick mark net to
the amount on the 'Payment report' for the day to indicate that payment type
and the amount appearing on the folio is matching with the amount and type on
the report.
·
Reconcile all Bill to company settlement for the day and make sure
that the corresponding billing letter and copy of the restaurant checks are
attached to the same.
Print Reports for all interfaces from PMS:
·
Posting report for Telephone postings.
·
Posting report for Internet postings.
·
Posting report for In Room Movie rentals.
·
Refer the server report for all the above interfaces and tally the
revenue with those posted on the PMS.
·
Circle the last transaction to verify and also to ensure that the
last charges has posted in the evening and not stopped sometime during the day.
·
Reconcile all posting these must balance guest accounts.
·
Sign all the posting reports.
Log all Vacant Rooms, resolve room status and discrepancies.
Count the Key's in the slot ( For hotels using Manual Metal
keys )
Check the Rate check report / Rate variance report:
·
Make sure that the correct room rate is entered on to the
reservations.
·
Any Zero rate rooms to be investigated and identified for Sharer,
Complementary, House user or PM rooms.
·
Investigate all Rate discrepancy.
·
Check for correct assignment for Market and source segments to the
reservation.
·
Verify all correct by ticking or highlighting both the rate and
the reservation / billing instructions.
·
Sign off on the report once completed.
Balance Credit Cards:
·
Print the 'Payment report only Credit
Card' report from PMS.
·
Perform the Batch closing on all EDC / CCD
machines.
·
Compare the settlements on the Batch close
report with the 'Credit Card' report printed from PMS.
·
Place a tick next to the amount of the
report to indicate that paperwork is in order and complete.
·
Do this for ALL payments made today. All
paperwork must be filed in order of the report.
·
Please ensure the end of day credit card
terminal docket says settlement successful.
·
Complete the Credit Card Reconciliation
Form.
·
Both PMS and credit card MUST balance to
each other.
·
Complete settlement on all the credit card
terminals – after midnight
Check Pending Arrivals:
·
Check all pending arrivals left.
·
Show check in for those rooms which has
been prepaid or has a guaranteed payment form agent or Company.
·
All non arrivals that have not been
prepaid need to be processed as a no show during EOD.
Check Pending departures:
·
Review pending departures.
·
If there are any departures left cross
check the same with the bell boy errand card for departures to make sure that
the room has departed. And show check out for the same on the system.
Balance Cash:
·
Retrieve the Payments as at now sorted by
MOP printed earlier
·
Verify all cash drops
·
Balance any paid outs from same or
previous days
·
Prepare deposit slip and express banking
bag for net cash and cheques
Cash Register closure:
·
Cash Register / Cash register closure. You
must ensure all cash registers are closed (the only way to do this is to ensure
you have all the cash register closure reports).
·
You must ensure that there are no
outstanding departures/arrivals (including group masters).
·
Print Shift Reports before closure.
·
Ensure that all postings are accounted
for.
·
Close Cash Register.
·
Sign on the report printed while closing
cash register.
Pre End Of Day Final Check:
·
ALL Cash registers are CLOSED (reopen and
close all registers to ensure they are closed)
·
There are NO departures still to depart.
·
There are NO non-guaranteed arrivals still
to arrive (including group masters).
·
Check if there is a printer connected with
enough paper loaded on to the computer you are running the EOD on.
·
Log out all computers except the one on
which the EOD will be performed.
·
Inform all outlets to not to settle any
checks till the time the EOD is completed.
Start End of Day / Night Audit Process on
the Front office software.
After EOD Process is completed:
·
Print Newspapers Report and complete daily
newspaper order form.
·
Hand over the Newspaper report to the Bell
Desk team.
·
Report set to be printed for General
Manager and all HOD's.
·
Re check-in all PM rooms for the POS
postings ( Cash, Credit Card, City Ledger, Lost posting )
·
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