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ROLE: Hotel Financial Controller SALARY: Competitive Salary LOCATION: Fraser Place Canary Wharf & Fraser Suites Glasgow Fraser Hospitality are looking for a Cluster Financial Controller. Based from Fraser Suites Glasgow, or Fraser Place Canary Wharf, you will be responsible for the day-to-day accounting, financial operations and provides support to operational managers across the properties. You will also be responsible for producing and submitting accurate monthly P&Ls and Balance Sheets for the hotels in-line with the tight monthly deadlines. What you will be doing : Day to day financial reporting and operational duties Ensure compliance with internal policies & procedures Review of cash banking & safeguarding of cash floats in operation Producing bank reconciliations and bank clearing Support junior Finance staff within the hotel Coordinate accounts payable and accounts receivable functions Preparation of monthly financial statements, forecasting and commentary on variance Monthly balance sheet reconciliation and preparation of audit pack Analyse & interpret of monthly results, key performance indicators and cost control by department. Assist Senior Management Accountant and General Managers with annual budgets Prepare P&L, Balance Sheet and Cash Flow reports for corporate reporting to strict deadlines Assist with property audit – internal and external, and other consultants and bank Work with other finance team and share best practices Prepare, submit and settle VAT returns and City tax returns within required deadline What we're looking for: Experience of accountancy and finance for a hotel operation is essential Experience of supporting multiple hotels in a finance capacity is beneficial This role is suitable for a part qualified accountant Proven capability to communicate Financial Information to various stakeholders, especially with non-financial background An eye for detail and the ability to identify errors and offer workable solutions Strong systems skills with a mindset of continuous improvement Personable, positive, dynamic professional who works flexibly and collaboratively to achieve deadlines, with “a can get job” done attitude A disciplined approach to production and documentation of work
Day to day financial reporting and operational duties
Ensure compliance with internal policies & procedures
Review of cash banking & safeguarding of cash floats in operation
Producing bank reconciliations and bank clearing
Support junior Finance staff within the hotel
Coordinate accounts payable and accounts receivable functions
Preparation of monthly financial statements, forecasting and commentary on variance
Monthly balance sheet reconciliation and preparation of audit pack
Analyse & interpret of monthly results, key performance indicators and cost control by department.
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Assist Senior Management Accountant and General Managers with annual budgets
Prepare P&L, Balance Sheet and Cash Flow reports for corporate reporting to strict deadlines
Assist with property audit – internal and external, and other consultants and bank
Work with other finance team and share best practices
Prepare, submit and settle VAT returns and City tax returns within required deadline
Experience of accountancy and finance for a hotel operation is essential
Experience of supporting multiple hotels in a finance capacity is beneficial
This role is suitable for a part qualified accountant
Proven capability to communicate Financial Information to various stakeholders, especially with non-financial background
An eye for detail and the ability to identify errors and offer workable solutions
Strong systems skills with a mindset of continuous improvement
Personable, positive, dynamic professional who works flexibly and collaboratively to achieve deadlines, with “a can get job” done attitude
A disciplined approach to production and documentation of work
About You
ROLE: Hotel Financial Controller SALARY: Competitive Salary LOCATION: Fraser Place Canary Wharf & Fraser Suites Glasgow Fraser Hospitality are looking for a Cluster Financial Controller. Based from Fraser Suites Glasgow, or Fraser Place Canary Wharf, you will be responsible for the day-to-day accounting, financial operations and provides support to operational managers across the properties. You will also be responsible for producing and submitting accurate monthly P&Ls and Balance Sheets for the hotels in-line with the tight monthly deadlines. What you will be doing : Day to day financial reporting and operational duties Ensure compliance with internal policies & procedures Review of cash banking & safeguarding of cash floats in operation Producing bank reconciliations and bank clearing Support junior Finance staff within the hotel Coordinate accounts payable and accounts receivable functions Preparation of monthly financial statements, forecasting and commentary on variance Monthly balance sheet reconciliation and preparation of audit pack Analyse & interpret of monthly results, key performance indicators and cost control by department. Assist Senior Management Accountant and General Managers with annual budgets Prepare P&L, Balance Sheet and Cash Flow reports for corporate reporting to strict deadlines Assist with property audit – internal and external, and other consultants and bank Work with other finance team and share best practices Prepare, submit and settle VAT returns and City tax returns within required deadline What we're looking for: Experience of accountancy and finance for a hotel operation is essential Experience of supporting multiple hotels in a finance capacity is beneficial This role is suitable for a part qualified accountant Proven capability to communicate Financial Information to various stakeholders, especially with non-financial background An eye for detail and the ability to identify errors and offer workable solutions Strong systems skills with a mindset of continuous improvement Personable, positive, dynamic professional who works flexibly and collaboratively to achieve deadlines, with “a can get job” done attitude A disciplined approach to production and documentation of work
Day to day financial reporting and operational duties
Ensure compliance with internal policies & procedures
Review of cash banking & safeguarding of cash floats in operation
Producing bank reconciliations and bank clearing
Support junior Finance staff within the hotel
Coordinate accounts payable and accounts receivable functions
Preparation of monthly financial statements, forecasting and commentary on variance
Monthly balance sheet reconciliation and preparation of audit pack
Analyse & interpret of monthly results, key performance indicators and cost control by department.
Assist Senior Management Accountant and General Managers with annual budgets
Prepare P&L, Balance Sheet and Cash Flow reports for corporate reporting to strict deadlines
Assist with property audit – internal and external, and other consultants and bank
Work with other finance team and share best practices
Prepare, submit and settle VAT returns and City tax returns within required deadline
Experience of accountancy and finance for a hotel operation is essential
Experience of supporting multiple hotels in a finance capacity is beneficial
This role is suitable for a part qualified accountant
Proven capability to communicate Financial Information to various stakeholders, especially with non-financial background
An eye for detail and the ability to identify errors and offer workable solutions
Strong systems skills with a mindset of continuous improvement
Personable, positive, dynamic professional who works flexibly and collaboratively to achieve deadlines, with “a can get job” done attitude
A disciplined approach to production and documentation of work
About You
Benefits
Verified company details for this employer are not available yet.
Full-time
Mid
Onsite
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