About This Role
A leading hospitality and events destination in Ireland's northwest seeks a seasoned professional to manage its revenue transactions, reconcile sales and banking records, and analyze financial reports.
Key Responsibilities
* Audit revenue transactions, reconcile daily and monthly sales, cash, and banking records
* Manage the Accounts Receivable ledger to ensure all debts are valid and collectable
* Analyze revenue reports, reconcile VAT, and ensure compliance with standard operating procedures
* Provide training to Front Office staff on accounting procedures, report on revenue variances, and manage cash floats and petty cash
* Support Accounts Payable with invoice queries, assist with month-end processes, payroll, budgeting, cash flow, and forecasting, collaborating with hotel management and external finance teams
Requirements
* Strong accounts experience within the hospitality industry
* Strong attention to detail, excellent organisational and time-management skills, and proficiency in Microsoft Excel
* Effective communication and solid understanding of VAT regulations and financial reporting standards