Unit 1 - Night Audit Flashcards
The hotel’s financial management starts in the _____. Of course, this responsibility is shared with the controller’s office, but it begins with the accurate and timely processing of guest accounts.
Front Office
The night auditor, provides a balance of debit and credit entries to guest and departmental accounts, which include _______.
income- and expense-generating areas of the hotel (e.g., restaurants, gift shop, banquets)
The ____ is the control process whereby the financial activity of guests’ Accounts are maintained and balanced. This process tracks charges and payments (debits and credits) and the departmental receipts and charges on a daily basis.
Night Audit
The working definition of ____ encompasses not only the mechanical proofing of charge
land payment totals but also the further review of account activity by management.
Night audit
The ______ manager monitors the credit activity of guests, projects daily cash flow from room sales, and monitors projected and actual sales for the
various departments.
Front Office Manager
What’s the purpose of the night audit report/reviews to the general manager?
Through night audit current and cumulative data, the general manager can evaluate if the marketing plan achieves the profit goals income generating departments and to make financial decisions effectively.
The ______ has many responsibilities in addition to preparing the night audit report. This person also must check in and check out guests who arrive or depart after 11:00 p.m., process reservations, perform the duties of security guard, monitor fire safety systems, act as cashier for banquet functions, and perform the work of the manager on duty.
Night auditor
The night auditor acts as a communication link between the guest and hotel operations during the ____ shift.
11pm to 7am
The ______ is one of those reports that is not put on the shelf and forgotten. Management uses it to verify the integrity of the guest accounts and to review operational effectiveness, which is the ability of a manager to control costs and meet profit goals.
Night audit report
The six basic steps involved in preparing a night audit are?
- Posting room and tax charges
- Assembling guest charges and payments
- Reconciling departmental financial activities
- Reconciling the accounts receivable
- Running the trial balance
- Preparing the night audit report
Posting Room and Tax Charges
After the night auditor reviews messages from other front office staff, reviews guests who checked out of the hotel, extends any guest stays, reviews all room rates, and prints a variance report, his or her first task is to post room and tax charges to all accounts. The PMS can easily post these charges to the _______.
Electronic Folios
Assembling Guest Charges and Payments
The guest charges option of the night audit module in a property management system can sort and total all departmental charges and payments posted to the electronic folios from the point-of-sale systems that interface with the ____. These data are accurate as long
as the person entering the charges at the point-of-sale terminal keys them in accurately.
PMS
Reconciling Departmental Financial Activities
The ____ totals option of the night audit module in the PMS report total sales by the department.
Department totals
Reconciling Departments Financial Activities
The cashier option of the night audit module in the PMS reports the amount of cash, credit cards, and coupons received and discounts processed during the shift. The total amount of cash received by each cashier issued a cash drawer must be verified against __________.
the total money deposited for that shift
Reconciling Accounts Receivable
____ is an accounts receivable held at the front office. The _____ is a collection of guest accounts of persons who are not registered with the hotel. They have either received approval for direct billing privileges or paid a deposit on a future banquet, meeting, or reception.
City Ledger
Reconciling Accounts Receivable
The ____ account—an account receivable that tracks bank, commercial,
private label, and intersell credit cards such as VISA, MasterCard, and JCB—is held at the front office.
Master Credit Card Account