- Provide financial support to the business ensuring ad-hoc and monthly reporting and analysis related to Cash Flow (producing weekly/monthly/quarterly budgets forecasts and various other reports for Corporate)
- In charge of the Overheads costs planning: management of related accounts budgeting forecasts and variances analysis
- Management of Travel & Expenses tools and reconciliations in compliance with Business guidelines and Italian Fiscal requirements
- Monitor on a daily basis all payments and collections by managing all remote banking systems and reviewing all key reconciliations of cash and bank accounts; managing also all relationships with Banks and Corporate Treasury and continuously providing Trainings for high turn-over
- Managing all Intercompany recharges of OH costs properly issuing invoices
- Statutory Trial Balance: management and reconciliation of cash bank related accounts
- Assist the Chief Accountant with in the preparation of all reporting requirements regardless of reporting frequency including daily weekly monthly quarterly annual and ad-hoc on a timely basis meeting all deadlines.
- Ensure information presented in all reports is accurate and reflective of actual business transactions.
- Assist in communication and compliance of all approved hotel policies & procedures in the Finance Departments.
- Conduct surprise spot-checks on hotel cash float on a periodic basis.
- Conduct surprise stock-count inspection in addition to/ during the month-end stock-count conducted by the Cost Controllers office.
- Assist in the preparation of all groundwork required for all statutory audit and tax requirements.
- Administer all tax filing and government reporting procedures to ensure accurate timely information is provided in compliance with laws and regulations.
- Assist the Chief Accountant in the preparation of the annual budgets and monthly forecasts as required.
- Assist in scheduling and training of staff for accounting positions.
- Arrange the duty roster for the Witness of Daily cash/cheque/foreign currency collection.
- Supervise staff attendance with the help of coordinator and ensure compliance with Hotel Human Resources Policies & Procedures.
- Ensures all revenue and receipt transactions are properly accounted for and deposited into banks.
- Reviews summaries reports and journals prepared by the Income and Night Auditor.
- Oversees timely arrangements of payments by cheques bank auto pays & remittances by ensuring that the payments are properly supported & authorized.
- Review cheque register vendor listing creditors log and reports.
- Checks if monthly payroll is properly supported authorized and reconciled ensuring personnel data are correctly recorded in payroll record.
- Reviews schedules of lease and sub-lease agreements. Monitor the billing and report and follow up on any discrepancies and irregularities.
- Reviews monthly capital expenditure reports ensuring completion in accordance with set schedule.
- Supervises filing and authorization on disposal of documents.
- To temporarily assume the duties of the Chief Accountant in his/ her absence.
- Perform any other duties as may be assigned on a periodic basis by superior (s).
Qualifications :
Bachelors degree in Accounting or Commerce.
Additional Information :
Three to five years experience in accounting role/experience as an Accountant. Strong background in income auditing.
Remote Work :
No
Employment Type :
Full-time
Provide financial support to the business ensuring ad-hoc and monthly reporting and analysis related to Cash Flow (producing weekly/monthly/quarterly budgets forecasts and various other reports for Corporate) In charge of the Overheads costs planning: management of related accounts budgeting forecas...
- Provide financial support to the business ensuring ad-hoc and monthly reporting and analysis related to Cash Flow (producing weekly/monthly/quarterly budgets forecasts and various other reports for Corporate)
- In charge of the Overheads costs planning: management of related accounts budgeting forecasts and variances analysis
- Management of Travel & Expenses tools and reconciliations in compliance with Business guidelines and Italian Fiscal requirements
- Monitor on a daily basis all payments and collections by managing all remote banking systems and reviewing all key reconciliations of cash and bank accounts; managing also all relationships with Banks and Corporate Treasury and continuously providing Trainings for high turn-over
- Managing all Intercompany recharges of OH costs properly issuing invoices
- Statutory Trial Balance: management and reconciliation of cash bank related accounts
- Assist the Chief Accountant with in the preparation of all reporting requirements regardless of reporting frequency including daily weekly monthly quarterly annual and ad-hoc on a timely basis meeting all deadlines.
- Ensure information presented in all reports is accurate and reflective of actual business transactions.
- Assist in communication and compliance of all approved hotel policies & procedures in the Finance Departments.
- Conduct surprise spot-checks on hotel cash float on a periodic basis.
- Conduct surprise stock-count inspection in addition to/ during the month-end stock-count conducted by the Cost Controllers office.
- Assist in the preparation of all groundwork required for all statutory audit and tax requirements.
- Administer all tax filing and government reporting procedures to ensure accurate timely information is provided in compliance with laws and regulations.
- Assist the Chief Accountant in the preparation of the annual budgets and monthly forecasts as required.
- Assist in scheduling and training of staff for accounting positions.
- Arrange the duty roster for the Witness of Daily cash/cheque/foreign currency collection.
- Supervise staff attendance with the help of coordinator and ensure compliance with Hotel Human Resources Policies & Procedures.
- Ensures all revenue and receipt transactions are properly accounted for and deposited into banks.
- Reviews summaries reports and journals prepared by the Income and Night Auditor.
- Oversees timely arrangements of payments by cheques bank auto pays & remittances by ensuring that the payments are properly supported & authorized.
- Review cheque register vendor listing creditors log and reports.
- Checks if monthly payroll is properly supported authorized and reconciled ensuring personnel data are correctly recorded in payroll record.
- Reviews schedules of lease and sub-lease agreements. Monitor the billing and report and follow up on any discrepancies and irregularities.
- Reviews monthly capital expenditure reports ensuring completion in accordance with set schedule.
- Supervises filing and authorization on disposal of documents.
- To temporarily assume the duties of the Chief Accountant in his/ her absence.
- Perform any other duties as may be assigned on a periodic basis by superior (s).
Qualifications :
Bachelors degree in Accounting or Commerce.
Additional Information :
Three to five years experience in accounting role/experience as an Accountant. Strong background in income auditing.
Remote Work :
No
Employment Type :
Full-time
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