Job Summary
We are seeking an experienced and detail-oriented Accountantto manage the hotel's financial records, maintain effective financial controls, and provide accurate financial information to support business decisions.
Key Responsibilities
1. Accounting & Financial Management
- Maintain accurate and up-to-date financial records and accounting transactions.
- Record and review daily financial transactions, including sales, expenses, purchases, and payments.
- Prepare and maintain general ledger accounts and supporting schedules.
- Ensure proper documentation and authorization of financial transactions.
- Assist with month-end and year-end closing processes.
2. Financial Reporting
- Prepare daily, weekly, and monthly financial reports for management review.
- Monitor revenue, expenses, cash flow, and profitability.
- Prepare management reports and provide relevant financial insights.
- Analyze financial results and highlight significant variances, trends, and areas requiring attention.
- Provide accurate financial information to support management decision-making.
3. Reconciliation & Cash Management
- Perform regular bank, cash, POS, and other relevant account reconciliations.
- Monitor daily cash collections and ensure proper recording and reporting.
- Investigate and resolve discrepancies identified during reconciliations.
- Monitor cash flow and ensure adequate controls over cash handling.
- Work with relevant departments to ensure all revenue is properly captured and accounted for.
4. Accounts Payable & Receivable
- Manage accounts payable and accounts receivable processes.
- Verify invoices, payment requests, receipts, and supporting documentation.
- Track outstanding receivables and follow up on overdue balances.
- Ensure suppliers and vendors are paid accurately and on time.
- Maintain accurate records of supplier and customer accounts.
5. Budgeting & Cost Control
- Assist in preparing and monitoring departmental and business budgets.
- Monitor operating expenses and identify opportunities for cost reduction.
- Analyze expenditure and investigate unusual or unexpected costs.
- Monitor operational costs, wastage, and potential revenue leakages.
- Provide recommendations to improve cost efficiency and profitability.
6. Inventory & Revenue Control
- Support the monitoring and reconciliation of inventory records.
- Work with relevant departments to identify stock variances, wastage, and potential losses.
- Monitor revenue generated from rooms, food and beverages, and other hotel services.
- Ensure revenue is accurately captured across relevant sales channels.
- Identify discrepancies or leakages and recommend corrective actions.
7. Compliance & Internal Controls
- Ensure accounting activities comply with applicable financial regulations and company policies.
- Maintain effective financial controls and proper documentation.
- Support statutory filings, tax-related activities, audits, and regulatory requirements.
- Assist internal and external auditors by providing requested financial records and information.
- Identify control weaknesses and recommend improvements.
8. Business & Financial Analysis
- Analyze financial data to identify trends, risks, and opportunities.
- Provide management with financial insights that can support business and revenue decisions.
- Conduct cost and profitability analysis where required.
- Support management in evaluating new business opportunities and operational initiatives.
- Monitor financial performance against budgets and previous periods.
Requirements
- Bachelor's degree or HND in Accounting, Finance, or a related field.
- 4–6 years of relevant accounting experience.
- Professional accounting qualification or progress toward one (e.g.,ICAN, ACCA, or equivalent) is an added advantage.
- Previous experience in the hospitality, hotel, restaurant, or service industry is highly desirable.
- Strong knowledge of accounting principles and financial reporting.
- Experience with bank, cash, and POS reconciliations.
- Good knowledge of accounts payable and accounts receivable processes.
- Experience with budgeting, cost control, and financial analysis.
- Strong understanding of internal financial controls.
- Proficiency in Microsoft Excel and accounting software such as QuickBooks, Sage, or similar platforms.
- Strong numerical, analytical, and problem-solving skills.
- Excellent attention to detail and accuracy.
- Good communication and organizational skills.
- Ability to work independently and meet reporting deadlines.
Key Competencies
- Financial Reporting
- General Accounting
- Bank & POS Reconciliation
- Cash Management
- Accounts Payable & Receivable
- Budgeting & Forecasting
- Cost Control
- Inventory & Revenue Control
- Financial Analysis
- Internal Controls
- Tax & Regulatory Compliance
- Microsoft Excel
- Accounting Software
- Problem Solving
- Attention to Detail
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