The Opportunity
This position is responsible for the efficient and effective operation of the Finance Department to maximize the Hotels’ profitability and overall financial performance.
The primary function is to maintain control over income, expenses and assets of the hotel in compliance with the company’s policies and procedures as well as local requirements. The role also ensures open communication with the General Manager, Regional Financial Controllers and Owners of the Hotel.
Your Time Will Be Valued
- Managing day to day finance operations, prepare all month-end and year-end reports, including tax reporting packages. Maintain the books of accounts for owners and the Hotel;
- Preparing and coordinating monthly forecasts and outlooks, including, but not limited to, forecasts for owners and any similar reports for the Hotel;
- Preparing budget forms and assist the General Manager in the completion of the entire budget packages;
- Review financial reports in accordance with reporting calendars and insure that all reports are submitted on a timely basis;
- Provide guidance and coaching to your direct reports. Recommend training necessary or provide training for specific tasks to the accounting team;
- Prepare general ledger journals, maintain accurate balance sheet reconciliations and perform other general and administrative functions as may be required;
- Prepare audit schedules and coordinate with external and internal auditors in the completion of their field work. Assist the General Manager in the completion and implementation of all audit recommendations.
- Handle the administration of all bank accounts, ensures bank resolutions are updated, and prepare treasury reports.