Tổng hợp việc làm cho sinh viên Đại học Kinh tế - ĐH Đà Nẵng theo ngành nghề. Nơi sinh viên tìm việc phù hợp và định hướng nghề nghiệp.
- Kiểm tra vệ sinh phòng khách, khu vực tầng
- Theo dõi tình trạng phòng
- Kiểm soát, theo dõi tình trạng hoạt động của các trang thiết bị, dụng cụ, hóa chất
- Các công việc khác theo sự phân công của Trưởng bộ phận
• Thực tập và thực hiện các công việc liên quan đến bộ phận nhà hàng;
• Duy trì các tiêu chuẩn vận hành của khách sạn;
• Tuân thủ nội quy lao động của công ty.
• Thực hiện các công việc liên quan khác theo sự hướng dẫn của các anh chị giám sát/quản lý bộ phận.
(Chi tiết công việc sẽ được trao đổi thêm khi phỏng vấn thực tập sinh)
Hiring and training staff to provide excellent service to patrons.
Creating effective schedules and quickly resolving conflicts to ensure that bar is well staffed during peak hours.
Setting and enforcing quality and safety controls.
Ensuring licenses are updated and in line with current legislation.
Working with diverse personalities both on the staff and patrons.
Planning and taking part in promotional events.
Diffusing tense situations between patrons or staff members to prevent possible safety or legal issues, ejecting unruly persons, if needed.
Maintaining a fun, safe atmosphere for patrons.
• Duy trì các tiêu chuẩn vận hành của khách sạn;
• Tuân thủ nội quy lao động của công ty.
• Thực hiện các công việc liên quan khác theo sự hướng dẫn của các anh chị giám sát/quản lý bộ phận.
(Chi tiết công việc sẽ được trao đổi thêm khi phỏng vấn thực tập sinh)
- Kiểm tra, chuẩn bị các nguyên liệu, vật dụng, thiết bị chế biến món ăn
- Trực tiếp chế biến món ăn
- Thực hiện việc kiểm tra nguyên vật liệu đầu/cuối ca, giữ vệ sinh khu vực bếp được phân công
- Thực hiện các công việc khác theo sự phân chia của Quản lý
I. GENERAL MISSION
Ensure that the purchasing system is effective and all supplies, equipment, and relevant services are purchased while maintaining high quality standards and cost effectiveness. Make the difference.
II. DUTIES AND RESPONSIBILITIES
* Assisting the Purchasing Manager in regularly checking the market prices of all goods to be used by the Resort.
* Assisting Purchasing Manager in negotiating prices with suppliers according to the SOP with integrity of good governance.
* Storing an updated supplier list at all times.
* Ensuring that filing and the archive system are in accordance with accounting procedures.
* Maintaining a system between purchasing staff and the main kitchen to ensure time lines, quality, and quantity of goods.
* Ensuring that orders are filled and supplies are delivered on time as requested by a department.
* Ensuring that all purchasing of materials, merchandises and services reach the required maximum efficiency, economy and accuracy for adequate control.
* Preparing all necessary paper work when ordering goods from all vendors.
* Checking all goods delivered to the Resort on quantity and quality; Ensure that received goods are always in good condition and correct quality; Check the accuracy and legality of supporting documents of delivered goods.
* Following up the delivery date of goods ordered.
* Collecting Red Invoices of received goods and related documents to provide to the Payable Accountant for accounting records and payments.
* Assisting the Store Keeper in control of stock minimum balances.
* Keeping the loading area clean and tidy.
* Carrying out physical counts of inventories, tools, equipment and fixed assets at the end of the month as required.
* Perform other duties and responsibilities as assigned by the management.
To work in a professional and courteous manner, while maintaining the company’s rules and procedures. To fulfill the requested duties and functions specific to the department to the best of your ability.
II. DUTIES AND RESPONSIBILITIES
* Receiving TO/TA red invoice and booking confirmation from Income Auditor. After checking between invoices and booking confirmation, TO/TA voucher.
* Do a debit note and attached with all red invoice transfer to financial controller for checking and signing. Making one photocopy and filing on “outstanding file”. Then records all invoice number in one book before sending. Contact with TO/TA if they received or not & get confirmation of outstanding amount from TO/TA or corporate.
* Make and keeps track on account Receivable Sub-ledgers. Make weekly account Receivable Aging Report and submits to Financial Controller.
* Make monthly account receivable Aging report and make reconciliation between General Ledger and sub ledger.
* Responsible for contact with over-due debtors, to collect money and report to Financial Controller.
* Receiving red invoice which settled by credit card and follow with the bank in settlement and do the bank receipt.
* End of month, do the reconciliation between General ledger and credit card subledger.
* Take part in physical count at end of month.
* Do some extra things relating to accounting jobs assigned by Financial Controller.