Assist in managing revenues received and dispersed including accounts receivable, accounts payable, payroll, audit, General Ledger reporting.
Cash handling functions for the hotel and reconcile all cash dropped at the front desk.
Assist with analysing financial statements on a monthly basis and report any variances to the concerned department heads.
Assist with financial and tax audits.
Assist with preparing tax returns and corporate reporting requirements.
Assist the financial Controller with systems administration, G/L account reconciliation, budget preparations, inventories, monthly closings and full P & L responsibility.
Assist financial Controller with completing the year-end audit process.
Review and approve all reconciliation and audit work papers.
Post city ledger payments in property management system, reconcile and bill all city ledger accounts.
Perform follow-up billing and credit collection documentation and inform Controller of any potential uncollected accounts.
Reconcile credit card back-up to General Cashier Summary and inform Controller of any discrepancies.
Bill out credit cards (AMEX, VISA, etc.) and also maintain accurate and legible logs for all credit cards.
Reconciles bank statements.
Prepare wire transfer confirmations for reimbursable invoices.
Reviewing all ledger details guest ledger, city ledger and deposit ledgers to validate proper payment and revenue posting.
If any imbalance or difference found on the ledger then co-ordinate with the PMS team to resolving the same.
Review the postings, payments, revenue and guest balance reports on a daily basis.
Ensure correct taxation are applied on all billing software like Property Management systems (PMS), Point of Sale (POS) and SPA software's.
Maintains accounting databases by entering data into the accounting program.
Assists with reimbursable invoicing.
Process and follow-up on all returned checks accepted as cash payment.
Record General Ledger and City Ledger reconciliation.
Analyse revenues, commissions and expenses to ensure they are recorded appropriately on a monthly basis.
Maintain Vendor's permanent files and Certificates of Insurance.
Maintain contracts for vendors.
Process payroll & verify payroll and reports.
Process authorize purchase requests as needed.
Rotating monthly audits of inventories / Enter final inventory totals into spreadsheet.
Maintain Office supplies and order as needed.
Any other job related duties as and when assigned by the Financial controller.
Accomplishes accounting and organisation mission by completing related results as needed.
Job Types: Full-time, FresherSalary: ?12,000.00 - ?15,000.00 per monthBenefits:
Food provided
Provident Fund
Schedule:
Fixed shift
Morning shift
Supplemental pay types:
Overtime pay
Performance bonus
Ability to commute/relocate:
Juhu, Mumbai - 400049, Maharashtra: Reliably commute or planning to relocate before starting work (Required)
Education:
Higher Secondary(12th Pass) (Required)
Experience:
total work: 1 year (Preferred)
Language:
Hindi (Preferred)
English (Preferred)
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