Chief Accountant
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Key skills for this role
About the Role
MENA Partner of Louvre Hotels Group is seeking a Chief Accountant to oversee all accounting functions, financial reporting, and compliance for a hotel in Dubai. The role includes managing day-to-day accounting, budgeting, cash flow, and leading a team.
Key Skills for This Role
Responsibilities
- Oversee the preparation of accurate and timely financial statements in accordance with accounting standards and company policies
- Ensure compliance with financial regulations and reporting requirements
- Assist in coordinating internal and external audits
- Manage day to day accounting activities, including accounts payable, accounts receivable, and general ledger functions
- Implement effective internal controls to safeguard financial data and assets
- Assist in the budgeting and financial planning process
- Manage cash flow, optimize liquidity and funds availability for operational needs
- Lead and mentor accounting colleagues, fostering a culture of excellence and continuous improvement
Requirements
- Proven experience as a Chief Accountant or similar role in hospitality
- Strong knowledge of accounting standards and regulations
- Experience with financial reporting and budgeting
- Proficiency in accounting software and Microsoft Office
- Excellent analytical and problem solving skills
- Leadership and team management abilities
Full Job Posting
Overview
- As a Chief Accountant, you are responsible for overseeing all accounting functions, financial reporting, and ensuring compliance with accounting standards and regulations.
- Your expertise in accounting and financial management will play a critical role in maintaining the financial health and integrity of the hotel.
Key Job Responsibilities
- Oversee the preparation of accurate and timely financial statements in accordance with accounting standards and company policies.
- Ensure compliance with financial regulations and reporting requirements.
- Assist in coordinating internal and external audits.
- Manage day to day accounting activities, including accounts payable, accounts receivable, and general ledger functions.
- Ensure the accuracy and completeness of financial records and transactions.
- Implement effective internal controls to safeguard financial data and assets.
- Assist in the budgeting and financial planning process.
- Analyze financial data to provide insights and recommendations for decision making.
- Monitor financial performance against budgetary targets.
- Manage cash flow, optimize liquidity and funds availability for operational needs.
- Coordinate cash management activities, including bank reconciliations.
- Implement cost control measures while maintaining service and quality standards.
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