Night Audit Bullet Points
These are the steps a good night auditor should take to ensure proper balancing and accurate statistics.
Everything on the Night Audit menu is there for a reason.
- Post any additional charges such as laundry, restaurant (if not using Execu/Touch POS), etc.
- Verify occupancy, arrivals, and departures.
- Print Room Inventory, Guests In House, Arrival & Departure Lists for the date you are auditing/closing.
- Before posting room & tax charges make sure arrivals have been checked in and departures have been checked out.
- For cancellations and no-shows, zero out advance deposits by posting refunds, cancellation fees, etc.
- Print a Preliminary Post Room and Tax
- Verify that room rates, taxes, auto-post, and package charges are correct.
- Verify that zero room rates are rate code 6.
- Make necessary corrections and then run the Final Post Room and Tax.
- For Condo properties, verify Condo batch after running "Transfer Room charges to CONDO".
- Print Guest Trial Balance
- Print Summary for in-house guests. Compare credit limits with folio balances. Preauthorize additional funds if appropriate.
- Print Summary for master folios. Make sure that all POS master folios (restaurant, bar, store) have a zero balance. Make corrections if necessary.
- Print Detail for in-house guests to archive or file in the event of power outage, etc.
- Print Charge and Payment Journals
- Balance charges to POS cashier reports and other sales reports
- Balance cash, checks, etc., to the cash drawers or drops
- Balance credit card transactions to the credit card batch (see next step)
-
Print and Settle Credit Card Batch after making sure it matches the card transactions on the payment journal.
- Print a Preliminary Recap to make sure the charges, payments, and adjustments are correct.
- Make sure all other workstations are logged out of Execu/Tech including all POS and back office terminals.
- Run Reorganize Files. Do not do anything else until it has finished.
- Run "Update advance deposits folio". No names should print on the report, entitled "advance deposits remaining for cancellations and no-shows.
- Run "Create GenLedeger/Direct Bill Postings". Nothing will print. This sends transactions to the accounting workstations to be processed.
- Print AM (Automated Morning) Report. This shows your transactions, occupancy, and statistics.
- Print Daily Report and distribute as advised by management.
See also
Night Audit Procedures
Night Audit FAQ
Night Audit Reports
Common Questions
Common Mistakes
|