Finance Manager - Accor Hotels
  • Montréal, Quebec, Canada
  • via Jobleads.com
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Job Description


Company Description

Raffles Udaipur, your private oasis. A destination for the curious, well-travelled connoisseur on a constant quest for peace, calm and discovery.Located On A 21 Acres Private Island Amid Lush Greenery, Perfect For A Rejuvenating Stay. Enjoy Seasonally Inspired Dining Experiences and Unmatched Hotel Services and Amenities.


Job Description

GENERAL MISSION

  • To assist the Director of Finance and oversee daily accounting operations in the hotel.

RESPONSIBILITIES AND MEANS

  • To supervise daily accounting operations.
  • To perform bank reconciliation and month-end reconciliation of all general ledger balances
  • To prepare the trial balance and financial reports.
  • To review and analyse all accounts before issuing final monthly financial statements.

ADMINISTRATIVE RESPONSIBILITIES

  • To supervise and control subordinates to discharge their duties in an effective and efficient manner.
  • To ensure teamwork and efficient operation of the department through team spirit development.

TECHNICAL RESPONSIBILITIES

General

  • To supervise daily accounting operations.
  • To prepare timetables for completing monthly reports and work schedules.
  • To be responsible for preparation of the various monthly reports as required by Management.
  • To perform a financial analysis on the monthly statements and report the results to the Director of Finance.
  • To assist the Director of Finance in checking and investigating whether purchase requisitions fall in capital expenditure or expense budgets.
  • To ensure sub-ledgers and supporting evidence are in order and properly maintained to support the General Ledger.
  • To safeguard all contracts and agreements and to supervise the necessary accounting procedures and the preparation of accounting ledgers and summaries.
  • To perform other duties as required by the Director of Finance.

Accounting

  • To review the daily revenue report prepared by the Income Auditor and to prepare the Income journal
  • To verify that journals and journal vouchers are properly recorded and accurate.
  • To verify that the general ledger and sub-ledger postings are accurate, ensure that general ledger and sub-ledger balances correspond and all contra/clearance accounts are cleared at month-end.
  • To manage prepaid and accrued expense monthly allocations and other allocated expense calculations and to ensure they are properly accounted for.
  • To review the salary calculations and ensure that labor expenses are properly posted.
  • To review the Monthly Food & Beverage Cost Controller’s Report and to verify the proper booking of the costs.
  • To check a draft of monthly account statements, verifying that there are no errors or unrecorded amounts and to report to the Director of Finance.
  • To verify that fixed assets are purchased according to the capital expenditure budget, that amounts are properly recorded and the fixed assets ledger completed.
  • To verify that the computer system is operating smoothly and that all necessary accounting records are correctly prepared.

Financial

  • To maintain close communication with the public auditors and to communicate instructions for the preparation of internal and external audits, preparing all necessary data and documents, in conjunction with the Director of Finance.
  • To maintain a working knowledge of the accounting regulations of the region where the hotel is located.
  • To verify the daily bank balances through review of the bank statements for all bank transactions and to prepare the bank reconciliation and credit card reconciliation to be submitted to the Director of Finance for approval.
  • To verify the accuracy of the General Cashier report and that revenue receipts are daily deposited into the bank by the General Cashier.
  • To perform monthly physical inspections for cash held by the cashiers (on a random basis) and to review daily cash balance lists from the General Cashier for cash on hand.
  • To ensure that unused cheques and other bank forms are safely stored and that all measures are taken to protect cash on hand at any point of sale area and the General Cashier’s room.
  • To verify the daily foreign exchange rates comply with and are advertised according to the procedure.
  • To prepare actual and estimated working capital schedules and to submit them to the Director of Finance.

Taxation

  • In regards to sales tax, consumption tax and payroll related taxes, to verify that amounts are promptly declared and paid on time.
  • To ensure that all tax matters are treated in a proper manner and in compliance with related legislation.
  • To follow up any tax changes and other legislation.

HUMAN RESPONSIBILITIES

  • To check the workload for the Accounting department and assist the Director of Finance in setting and changing assignment of work in order to prevent overburdening one part of the staff with heavy workload.
  • To manage the vacation schedule for the Accounting department, doing the necessary adjustments to prevent any trouble in the daily operation.
  • To evaluate employee performance and make suggestion to the Controller accordingly.
  • To plan and organize training for the staff in areas of accounting and finance.

RELATIONS

  • Directly reports to the Director of Finance

OTHER RESPONSIBILITIES

  • To be ready and responsible when assigned to perform any other duties as designated by higher management.

Qualifications

·B.Com /CA Inter / M.Com having8-12 years experience in a project based industry

·should have knowledge of POCM revenue recognition


Additional Information

BENEFITS:

An opportunity to be with world’s preferred hospitality company
Captivating and rewarding experience working alongside passionate professionals
Range of exclusive Heartist Benefits
Develop your talent through learning programs by Academy Accor.

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