This position is responsible for ensuring timely & accurate financial reporting according to accounting standards and in line with the Hotel’s policy & procedures.
Prepare month-end & year-end closing journals
Compile financial reports for management in accordance with policies & procedures
Ensure bank sheet reconciliations are completed on a timely and accurate manner
Check daily bank statements for abnormalities
Supervise respective Finance sections and ensure timely submission of all related reports and compliance to policy & procedures