Job Description Prepare and present accurate and timely financial statements, including balance sheets, income statements, and cash flow statements.
Develop and manage the company's budgeting process to set financial goals and objectives. Conduct financial analysis to identify trends, risks, and opportunities to support strategic decision-making.
Establish and maintain strong internal controls to safeguard the company's assets, ensure accuracy and integrity of financial data, and comply with regulations.
Manage and optimize cash flow by monitoring receivables, payables, and working capital. Develop and implement cash flow forecasting models to ensure adequate liquidity for operations.
Assess investment opportunities, evaluate financial risks, and provide recommendations to support strategic decision-making.
Coordinate and liaise with external auditors while ensuring compliance with statutory requirements, tax regulations, and reporting obligations.
Communicate financial information, analysis, and insights to key stakeholders, such as senior management, board of directors, investors, and lenders.
Oversee the implementation and maintenance of financial systems and technologies to streamline processes, improve data accuracy, and enhance reporting capabilities.
Requirements Minimum a Bachelor's Degree in Finance or Accounting.
At least 8 years of working experience in managerial finance/accounts role in the hotel industry.
Experience in pre opening is an advantage.
Must be knowledgeable with hotel front- and back-end software and operations.
Must be able to install a new hotel accounting system.
Ability to conduct financial analysis, identify trends, and provide insights to support decision-making.
Requirements Job Description: Prepare and present accurate and timely financial statements, including balance sheets, income statements, and cash flow statements.
Develop and manage the company's budgeting process to set financial goals and objectives.
Conduct financial analysis to identify trends, risks, and opportunities to support strategic decision-making.
Establish and maintain strong internal controls to safeguard the company's assets, ensure accuracy and integrity of financial data, and comply with regulations.
Manage and optimize cash flow by monitoring receivables, payables, and working capital.
Develop and implement cash flow forecasting models to ensure adequate liquidity for operations.
Assess investment opportunities, evaluate financial risks, and provide recommendations to support strategic decision-making.
Coordinate and liaise with external auditors while ensuring compliance with statutory requirements, tax regulations, and reporting obligations.
Communicate financial information, analysis, and insights to key stakeholders, such as senior management, board of directors, investors, and lenders.
Oversee the implementation and maintenance of financial systems and technologies to streamline processes, improve data accuracy, and enhance reporting capabilities.
Requirements: At least 8 years of working experience in managerial finance/accounts role in the hotel industry.
Experience in pre opening is an advantage.
Must be knowledgeable with hotel front- and back-end software and operations.
Must be able to install a new hotel accounting system.
Ability to conduct financial analysis, identify trends, and provide insights to support decision-making.