They are responsible for ensuring there is a robust financial control environment, and compliance with corporate policies & procedures. The role is responsible for all hotel financial activities including Financial Management & Statutory Reporting, Budgeting & Forecasting and Working Capital Management, whether delivered directly at the hotel level or via the local shared service Centre.
You will be expected to:
Reporting and Analysis: Provision of valuable insight that drives performance and continuous improvement
Performance Improvement: delivering excellent services through proactive support & advice on strategic & operational decision making
Budgeting and Forecasting: Co-ordination and preparation of hotel budgets and forecasts
Financial Control and Working Capital Management: Completion of control activities and monitoring & review of performance against agreed key financial controls & KPIs
General Management: Assist in the preparation of ad hoc financial reports, Company investment projects, and liaise with third-party business contacts
Leadership & People Development: Trusted Business Partners that drive value and create insights
Follows all applicable laws relating to general accounting practices and tax regulations
Complies fully with the set financial reporting deadlines and guidelines, as outlined in fiscal policies and by the Regional Financial Controller