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A three (3) star hotel located in the Eastern Region requires the services of a FINANCIAL ACCOUNTANT
Responsibilities
- Work closely with departments to coordinate and review business plan submissions and related budget projections to ensure alignment with the corporate budget.
- Support the Budget Technical Committee in reviewing departmental submissions and participate in budget hearings by providing financial input to guide resource allocation.
- Ensure the timely and accurate input of approved departmental and sectional budgets into the financial system and update them as required following budget revisions.
- Prepare and submit monthly departmental and sectional expenditure reports to the Finance Manager.
- Forecast year-end departmental expenditure and contribute proposals for the ensuing year’s corporate budget.
- Verify budget availability for resource requirements, monitor departmental expenditure limits, and support budgetary control.
- Prepare accurate, timely and relevant expenditure control and variance reports to support effective monitoring of allocated resources.
- Prepare ad hoc financial and management reports to support decision-making, negotiations, and planning.
- Maintain and update the fixed asset register and submit monthly and quarterly asset reports.
- Ensure project ledgers are properly maintained, updated, and supported by appropriate documentation.
- Prepare quarterly and annual financial statements, including notes and explanations, and report on variances against budget.
- Review daily cash summaries and update the General Cashier’s report where applicable.
- Audit overages and shortages, investigate discrepancies, and recommend corrective actions.
- Verify card, mobile money, and other electronic transactions and ensure reconciliation with POS and related systems.
- Ensure statutory payments and supplier obligations are processed accurately and on time.
- Prepare and submit tax returns and related schedules in compliance with applicable tax regulations.
- Monitor and control operating expenses to improve profitability and cost efficiency.
- Implement and maintain internal controls to safeguard company assets and financial information.
- Liaise with the Finance Manager on surplus cash management and monitor returns on approved investments.
- Prepare and submit month bank reconciliations and reconcile key balance sheet accounts.
- Provide support during internal and external audits by preparing schedules and responding to audit queries.
- Perform any other duties assigned by the Finance Manager and General Manager in line with business requirements.
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