Luxury hotel based in North Yorkshire is seeking to recruit a Financial Controller to work with the new management team.
Responsible for overseeing the day-to-day operation of the hotel financial management and control. Providing accurate and relevant financial reports and data to the owners, the General Manager, and hotel management team in which to manage the property.
Main responsibilities
- Manage the finance team daily to ensure all financial records are maintained, including accounts receivable, accounts payable, general ledger, cost accounting, stock control, cashiering and revenue recognition, and in accordance with any management agreements and all laws.
- Ensure timely delivery of a complete monthly management accounting service and reporting pack with appropriate analysis and commentary for the owners.
- Prepare and own the monthly balance sheet reconciliations.
- Manage and oversee all payroll and ensure all compliance matters are dealt with including the completion and submission of VAT, PAYE/NIC, ONS returns etc.
- Coordinate and prepare budgets and financial forecasts.
- Work with the GM to introduce a suite of daily/weekly/monthly operational and financial KPIs that are appropriate for the size and scale of the business.
- Establish and maintain a proper internal financial control system, appropriate for the size of the business, the way it operates and the industry it operates in with emphasis on cash receipts and management, authorisation of and processing of purchase orders, contracts, and other commitments in line with company policies.
Your background
- ACA/ACCA/CIMA qualified or equivalent
- Previous experience in the hospitality or hotel industries preferred
- Excellent communication and interpersonal skills