1. In order for credit balances to be handled appropriately the Guest Service Agent must ensure that the payment that the guest made upon check-in has been recorded correctly on his/her folio (i.e. cash has been recorded as cash and cheques, money orders and travelers cheques have been recorded as cheques).2. The Guest Service Agent will print a folio for the guest to review at check out.3. After the guest is satisfied with the bill, a refund will be due to the guest lf there is a credit balance on the folio.4. If the guest is due a refund, has paid in cash upon check in, then a cash refund should be given to the guest. In the event that issuing large cash refund will deplete the Guest Service Agent’s float or funds, then the Guest Services Manager/Supervisor must handle the refund.5. To refund cash to a guest:a Complete a Paid Out voucher detailing the guest name, room number, amount and explanation of the paid out (credit balance refund). The voucher must be pre numbered.b Have the guest sign the Paid Out as acknowledgement of cash received and the Guest service Representative must also sign to verify cash paid out.c Give the guest amount of the paid out from your cash drawer (only after 1 & 2 have been completed).6. Post the paid out in the computer.7. Print another folio detailing the paid out. Give the guest his/her copy and staple the other copy to the paid out voucher.8. trả tiền ra sẽ được lưu và được bao gồm trong báo cáo thu ngân khi thu ngân đóng lại sự thay đổi của mình.9. thanh toán outs hơn US$ 50 phải được chấp thuận bởi một người quản lý Dịch vụ đánh hay giám sát viên.10. tiền mặt trả outs trực tiếp từ thẻ tín dụng trước khi được chấp thuận cho phép đều bị cấm.
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