Accountant

Overall Objectives:

To be responsible for the hotel’s accounting and financial management requirements. Managing the accounting department, procurement function and electronic data processing systems.
To provide the general manager and unit management team with meaningful and timely information on the status of the hotel’s performance.
To assist proactively with cost containment, revenue enhancement, profit improvement opportunities and safeguarding of the company’s assets.

Main Duties:Records:

To maintain proper and complete accounting records of the hotel.
To ensure that the accounts, records and transactions of the hotel are accurate and correct at all times.
Safeguarding of Assets
To implement all necessary controls to safeguard the assets of the hotel.

Financial Reports:To prepare and interpret the financial statements and reports of the hotel.Budgets and Forecasts:

To compile, together with the other executives, budgets and forecasts covering all activities of the hotel.
To compile treasury/cash flow forecasts for the business.

Controls and Procedures:To ensure that the established controls and procedures in respect of the controller’s areas of responsibility are being complied with at all times.Cashiers:To ensure that there are, at all times, proper procedures and controls for the guest cashiers and other cashiers in the hotel, notwithstanding the fact that these areas are not the direct responsibility of the controller.To ensure proper controls for F&B cashiers.Purchasing, Receiving and Stores:To ensure that there are, at all times, proper procedures and controls for purchasing, receiving, stores and requisitioning.Expenditures:To check and approve expenditures (via purchase requests, expenditure approval forms and purchase orders) in accordance with established procedures.Payments:To approve and sign payments in accordance with established procedures.Bank Accounts:

To ensure that bank account statements are checked on a daily basis.
To ensure that bank accounts are reconciled each month.

Income Audit:To ensure that all revenue due to the hotel is properly accounted for and reconciled.Receivables:To ensure that all receivables are collected within the hotel’s credit periods.Accounts Payable:

To ensure that payments are made for all goods and services on a timely basis.
To ensure that all payments are adequately supported by documentation, properly coded and properly authorized.
To ensure that suppliers’ accounts are reconciled to the hotel’s records on a regular basis.

VAT:

To ensure that payments and returns are made accurately and on a timely basis to Customs and Excise in respect of value added tax.
To ensure that compliance is continuous and that refunds are appropriately kept for inspection by external bodies.

General Ledger:

To ensure that all revenue and expenditure are properly recorded in the general ledger.
To ensure that all balances are reconciled on a regular basis.

General Cashier:

To ensure that disbursements made by the General Cashier are properly authorized and adequately supported by documentation.
To ensure that the float of the General Cashier is verified daily.

Auditors:To liaise with internal and external auditors in compliance with the company’s requirements.Statutory Accounts:To assist in the preparation of the year end statutory accounts.Other Areas of Responsibility

taxes
Licences
Rental of space
Auditors (external and internal)
Pensions
Corporation tax
Company secretarial matters

JOB REQUIREMENTSMIN REQUIRED EXPERIENCE:5 year(s)MIN QUALIFICATION:Bachelor’s Degree/HNDDESIRED COURSES:Not SpecifiedOTHER REQUIREMENTS:Other Requirements:

Must be a chartered accountant
Minimum of 5 years’ experience in related industry
Prior experience with invoicing and customer relationship management
Good knowledge in use of hotel accounting/billing software.

Applicants should send CVs to hr@adronhomesproperties.com

Apply via :

hr@adronhomesproperties.com