09 Aug
|
Practic-Alt
|
Nagpur
09 Aug
Practic-Alt
Nagpur
Role: Unit Financial Controller
Company / Unit: Centre Point Hotels – Nagpur
Website :
Reporting To: Group Finance Head / CEO
Team Structure: Leads a unit accounts team of 4–5 persons (Senior Accounts Executive, Accounts Executive — Receivables, Accounts Executive — Payables & Compliance, Cost Controller, Accounts Assistant)
Qualification
- B.Com / M.Com mandatory. MBA Finance / CA Inter / CA Qualified are preferred and will carry additional weightage during evaluation.
Experience
- Minimum 8 years of experience in hotel finance or hospitality accounting at a full-service property. Prior experience as Unit Finance Controller, Finance Manager, Assistant Director of Finance, or Accounts Manager with banquet billing exposure is strongly preferred.
Required Skills
- Strong understanding of full-service hotel accounting — rooms, F&B;, banquets, events
- Hands-on PMS (IDS / Opera or equivalent) and POS revenue reconciliation
- Deep knowledge of GST in hospitality — billing, input credit, reconciliation
- Strong command over receivables, payables, and cash/bank control
- Experience in F&B; cost control and food cost analysis
- Ability to own and close the monthly trial balance independently
- Proficiency in Tally ERP and advanced Excel
- Ability to lead a team of 4–5 with clear accountability
- High ownership, discipline, and attention to detail
Key Responsibilities
1. Overall Financial Control
Own the complete finance and accounts function of Hotel Centre Point Nagpur across all revenue streams — rooms, 4 F&B; outlets, IRD, cloud kitchen, banquet and event halls, and ODC.
2. Multi-Outlet Revenue Control
Review and reconcile daily revenue across all revenue centres. Ensure all PMS and POS revenue is correctly posted,
reconciled, and matched with actual collections across cash, card, UPI, and credit settlements.
3. Banquet & Event Billing
Supervise billing for 10–11 banquet halls and Kalaakar ODC. Ensure each event is billed per function prospectus, advance received, minimum guarantee, extra charges, hall fees, AV, decoration, and applicable GST. Track advance collection, final settlement, and corporate event credit recovery.
4. F&B; Cost Control
Work with the F&B; team and stores to control food and beverage costs across 4 outlets. Review daily consumption, spoilage, wastage, recipe adherence, and portion control. Ensure monthly F&B; cost reconciliation with physical stock verification.
5. Corporate Billing & Receivables
Supervise corporate billing for rooms, F&B;, banquets, and events. Monitor debtor ageing, chase collections, ensure credit limits are adhered to, and track OTA settlements and travel agent payments.
6. Payables & Vendor Control
Review and control vendor payments across all departments. Ensure PO-GRN-bill matching, vendor ageing review, GST input eligibility, TDS deduction, and vendor reconciliations before any payment processing.
7. Banking & Cash Control
Monitor daily bank balances. Reconcile all cash, card, UPI, and online collections with PMS/POS and bank credits daily. Review cheque clearances, payment gateway settlements, and bank charges.
8.
Statutory Compliance
Ensure accurate and timely GST (GSTR-1, GSTR-3B, GSTR-2B reconciliation), TDS, PF, ESIC, Qualified Tax, and contractor compliance. Coordinate with Corporate Finance and the group CA for all filings.
9. Internal Controls & Cost Audit
Implement controls across all revenue and cost centres to prevent revenue leakage, duplicate payments, unapproved discounts, old advances, and unreconciled suspense entries. Support periodic internal audits across front office, F&B;, banquet, stores, and purchase.
10. Trial Balance & Monthly Closing
Own the monthly trial balance. Scrutinise all ledgers and drive timely month-end closure with all provisions, accruals, F&B; cost reconciliation, statutory working, debtor and vendor ageing, and final TB sign-off.
11. MIS & Management Reporting
Prepare and submit daily, weekly, and monthly reports including revenue summary, collection report, F&B; cost analysis, banquet revenue report, debtor ageing, vendor ageing, cash/bank position, and monthly financial summary to Unit GM and Group Management.
12. Payroll Coordination
Coordinate with HR for monthly payroll inputs, verify payroll workings, ensure statutory deductions, and book payroll entries in accounts.
13. Team Leadership
Lead and manage the unit accounts team of 4–5 persons. Define daily work allocation, review task completion, mentor team members, and ensure the department functions with full accountability.
14. Coordination
Maintain active coordination with Front Office, F&B;, Banquet & Events, IRD, Kitchen, Purchase, Stores, Housekeeping, Engineering, HR, and Corporate Finance for smooth financial operations at unit level.
📌 Hotel Unit Financial Controller - Nagpur
🏢 Practic-Alt
📍 Nagpur