10 Aug
|
Practic-Alt
|
Amravati
10 Aug
Practic-Alt
Amravati
Role: Unit Financial Controller
Company / Unit: Centre Point Hotels – Amravati
Reporting To: Hotel Unit GM & Group Finance Head / CEO
Team Structure: Leads a unit accounts team of 2-4 persons (Example - 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 6 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
- Solid 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
- Overall Accounts Control
Responsible for the complete accounts function of the hotel, including rooms, F&B; outlet, banquet hall, lawn events, vendor payments, debtor collections, cash/bank control, and statutory compliance.
- Daily Revenue Review
Review daily revenue reports for rooms, F&B;, banquet, and lawn events. Ensure revenue is correctly posted in the PMS/POS and books of accounts.
- Billing Review
Check important bills before dispatch, especially corporate bills, banquet bills,
lawn/event bills, credit bills, and high-value guest bills.
- Cash, Card & UPI Control
Ensure that all cash, card, and UPI collections are reconciled with PMS/POS reports and bank credits on a daily basis.
- Receivable Supervision
Monitor outstanding receivables from corporate clients, banquet parties, travel agents, OTA settlements, and other credit customers.
- Payable Supervision
Review vendor bills, payment schedules, pending approvals, GST input, TDS deduction, and vendor ageing before payment processing.
- Bank Reconciliation Review
Ensure daily or periodic bank reconciliation is completed and all unidentified receipts/payments are cleared.
- Statutory Compliance
Ensure timely and accurate working for GST, TDS, PF, ESIC, professional tax, contractor compliance, and other applicable statutory requirements.
- Trial Balance Control
Review all ledgers in the Trial Balance, especially debtors, creditors, advances, deposits, statutory ledgers, bank accounts, cash, provisions, and suspense accounts.
- Monthly Closing
Ensure timely month-end closing including revenue reconciliation, expense booking, provisions, prepaid expenses, depreciation support, GST/TDS reconciliation, debtor ageing, vendor ageing, and Trial Balance review.
- MIS & Reporting
Prepare and submit daily, weekly, and monthly reports to management, including revenue summary, collection report, payment report, debtor ageing, vendor ageing, cash/bank position, and monthly financial summary.
- Internal Control
Implement checks to avoid revenue leakage, incorrect billing, unapproved discounts, duplicate payments, old advances, uncleared suspense, and unreconciled bank entries.
- Team Supervision
- Allocate work between the two Accounts Executives, review daily task completion, check pending items, and ensure smooth coordination with Front Office, F&B;, Banquet, Purchase, Stores, HR, and Corporate Finance.
📌 Hotel Unit Financial Controller - Amravati
🏢 Practic-Alt
📍 Amravati