Employee Records
Hotel Accountant
SLIG - Accounts
Full Time
Coins Icon Competitive salary
Hotel Accountant
SLIG - Accounts

Full Time
Coins Icon Competitive salary
Skills
Budgeting
Revenue Forecast
Financial Reporting
Audit
Payroll
Description

Job Title: Hotel Accountant

Location: The Address Sligo

Department: Accounting/Finance

Responsibilities:

  • Effective Roster Management to adjust to business demands and revenue expectations working closely with other heads of department
  • Weekly Revenue Forecasting for Food, Beverage and Spa
  • Payroll Processing and payroll related activities (P30 returns)
  • Preparation of Month end Accounts including P&L and Balance Sheet Reconciliations and Bimonthly VAT Returns
  • Effective Purchase & Stock Management to align with business requirements working closely with other heads of department
  • Assistance in end of year audit working closely with auditors
  • Assistance in Monthly Forecasts & Annual Budget process
  • Ensuring Robust Financial Controls across the Business ensuring the business operates in compliance with relevant processes, laws and regulations
  •  Ensuring the company remains profitable through effective budget management. Working alongside all other departments, advising on their financial impact, to effectively budget.
  • Ensuring effective income management for card, cash, cheque and bank transfers.
  • Any other ad-hoc duties


Job Title: Hotel Accountant

Location: The Address Sligo

Department: Accounting/Finance

Responsibilities:

  • Effective Roster Management to adjust to business demands and revenue expectations working closely with other heads of department
  • Weekly Revenue Forecasting for Food, Beverage and Spa
  • Payroll Processing and payroll related activities (P30 returns)
  • Preparation of Month end Accounts including P&L and Balance Sheet Reconciliations and Bimonthly VAT Returns
  • Effective Purchase & Stock Management to align with business requirements working closely with other heads of department
  • Assistance in end of year audit working closely with auditors
  • Assistance in Monthly Forecasts & Annual Budget process
  • Ensuring Robust Financial Controls across the Business ensuring the business operates in compliance with relevant processes, laws and regulations
  •  Ensuring the company remains profitable through effective budget management. Working alongside all other departments, advising on their financial impact, to effectively budget.
  • Ensuring effective income management for card, cash, cheque and bank transfers.
  • Any other ad-hoc duties