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  • 总账会计

    5千-8千
    昆明 | 3年以上 | 学历不限 | 提供食宿
    • 五险一金
    • 年终奖
    • 包吃包住
    • 提供食宿
    • 免费工作餐
    • 提供员工宿舍
    • 节假日福利
    • 生日福利
    全服务中档酒店/4星级 | 50-99人
    • 投递简历
    【岗位职责】 1、负责酒店日常财务核算工作,包括但不限于收入、成本、费用的账务处理及核对; 2、编制月度、季度及年度财务报表,确保数据准确、及时; 3、定期进行账务核对与调整,确保总账与明细账一致; 4、协助完成税务申报、审计及年度汇算清缴工作; 5、参与酒店预算编制及执行分析,提供财务数据支持; 6、优化财务流程,完善内部控制制度,确保财务合规性; 7、配合上级完成其他财务相关工作。 【岗位要求】 1、具备3年以上财务相关工作经验,有酒店行业经验者优先; 2、熟悉企业会计准则及财税法规,能独立完成全盘账务处理; 3、熟练使用财务软件(如用友、金蝶等)及办公软件(Excel等); 4、具备较强的数据分析能力及逻辑思维能力; 5、工作细致、责任心强,具备良好的沟通与团队协作能力; 6、能适应酒店行业的工作节奏,抗压能力强。
  • 北京 | 经验不限 | 学历不限 | 提供食宿
    • 节日礼物
    • 带薪年假
    • 年底双薪
    • 领导好
    • 员工生日礼物
    • 包吃包住
    • 五险一金
    • 岗位晋升
    • 技能培训
    国内高端酒店/5星级 | 500-999人
    • 投递简历
    1、负责报销单、付款申请、合同等单据接收、初审,核查附件及审批签字完整性,跟进单据审批流转,做好交接登记。 2、负责会计凭证、合同、发票、报表等财务资料整理、装订、归档管理,执行档案借阅登记,配合审计调取档案资料。 3、维护合同、发票、费用等各类台账,协助财务数据录入核对,辅助发票管理、凭证报表打印等财务支持工作。 4、负责部门行政内勤:会议组织及纪要编写,各类工作报表、评优、培训、大事记材料汇总上报;办公用品、劳保物资申领管理;办理员工入转调离手续;文件复印扫描、外勤递送等事务。 5、完成日 / 周 / 月固定周期性工作:工作上报、到期合同预警、工程计件核对、部门费用报销、员工福利对接等;协助月末年末结账资料准备。 6、做好通知传达、来访接待、办公环境维护;严守财务保密制度,完成领导交办的其他临时工作。 1、高中及以上学历,财务、会计、文秘类专业优先,有财务文员 / 会计助理经验优先。 2、掌握基础财务常识,了解单据、档案、合同管理基本规范。 3、熟练 Office 办公软件,工作细心严谨,逻辑性强。 4、具备良好沟通协调与执行力,较强的保密意识,能胜任周期性事务工作。 把财务审计部文员的任职要求写得更详细些 推荐一些财务审计部文员的招聘信息范本 财务审计部文员的日常工作时间是怎样的?
  • 国际高端酒店/5星级 | 2000人以上
    • 投递简历
    工作职责: Key Responsibilities Financial Accounting & Control: Best practice financial accounting processes in a robust control environment  Overall management of the accounting records and financial reports of the hotel ensuring compliance with company, owner, statutory and fiscal requirements and timetables.  Where applicable the above must include the accounts for Hilton’s branch or subsidiary.  Ensure that the balance sheet is a fair reflection of the assets and liabilities of the hotel. The balance sheet must be regularly reviewed and reconciliations performed of all accounts.  Ensure compliance with the management agreement with Hilton, and any Owner / Lease agreement.  Maintain a focused system of internal controls, which will provide effective and efficient control over the hotel assets, liabilities, revenue and costs. Ensure compliance with company policy.  Maintain control over the Hotel’s assets, liabilities, income and expenditure on behalf of both the Operator and Owner and provide management, leadership and accountability for the financial performance of the hotel.  Ensure legal and tax compliance and that adequate insurance cover is maintained. Manage the pension scheme, where applicable, ensuring that adequate accounting, actuarial and legal controls are in place.  Ensure valid permits and licenses have been obtained for such matters as importation, currency transfers and hotel operations (bars, clubs, casinos etc.). Take responsibility for the safekeeping and updating of all leases and contracts, which may affect the financial status of the hotel.  Liaise and co-operate with both Internal and External Audit. Ensure that an effective programmed of in-hotel audit is in place and that corrective action is promptly taken where required. Give particular emphasis to ensuring that all revenue is captured. Make use of a monthly control checklist. Conducts interim self-audits as required.  Develop best practice financial accounting and control procedures. Financial reporting and control to be areas of continuous review and development with the aim of maximizing both impact and efficiency. Management Reporting: Focused, innovative and balanced reporting that stimulates management action  Develop high quality management information and performance measurement that is timely, accurate. Reporting should be thought provoking and action oriented.  Implement reporting that incorporates benchmarking, identification and measurement of key performance indicators, and use of the balanced scorecard. Reporting should not only look to historical performance within the hotel, but also outwards and forwards.  Ensures corporate reporting is timely and accurate. Ensures that all corporate reporting is internally consistent and that, inter alia, Datalink report, Pro-plan system, management reports, trends of operation reports, incremental conversion reports, profit and loss statements, balance sheets and cash flow reports reconcile to the trial balance. Maintains proof of such reconciliations which are conducted each month. Business Support: Provision of the highest standards of financial and commercial support to the Business  Support and advice on financial matters to the General Manager and to the hotel team, including the interpretation of financial data.  Review management information for the hotel and make proposals for the General Manager for value added initiatives. Where appropriate, play the “Devil’s Advocate” to challenge practices and proposals.  Provide financial skills to support business development initiatives Information Technology & Systems: Optimize the use of I.T. within the finance department to improve efficiency and information  With Project Managers, support the implementation of financial and related systems in the hotel.  With the ISM ensure proper use and maintenance of financial systems, including adequate security and back-up procedures.  Acts as the guardian of the integrity of data flowing into the accounting system. Ensures that control process is sound in systems that interface directly or indirectly with the accounting system. Works with colleagues to ensure that errors are corrected at source and processes amended as required to eliminate rather than correct errors.  Continually develops the usage of financial systems to ensure the highest levels of management reporting, processing and staffing efficiency and thereby return on investment. Investment Optimizing returns on capital investment  Utilize project evaluation techniques to assist in directing investment to those projects which optimize returns for the projects.  Prepare the annual capital plan and direct implementation of this plan, ensuring funding and necessary buying (eg. Owners) are in place so that the note can be kept at the highest possible standard.  Prepare and review the AFE, ensuring financial accuracy and sound commercial and business judgment is applied to the process, and that authorization is obtained prior to commitment of the hotel to expenditure.  Perform post investment audit on major capital investments. Communicates results of post investment reviews within the management team and ensures actions are taken to learn from such results and maximize returns.  Ensure compliance with HI capital policy. Maintain proper control and recording of project spending. Looking Ahead: Operating against meaningful strategic plans and budgets with accurate forecasting  Take a support role to the General Manager in hotel strategic planning. Emphasis on Master-Planning and “thinking outside the box” to identify value opportunities.  Manage the formulation, review and approval process for budgeting within the hotel.  Ensure a regular cycle of forecasting takes place within the hotel with content and detail appropriate to the needs of the operation.  Provides alerts to senior management and to Area/Regional office via regular forecasts, outlook reports or via ad hoc reporting concerning positive or negative trends in the business. Works with colleagues and the General Manager to ensure consistency and accuracy of communication regarding future trends in the business. AVOIDS SURPRISES. Investment in People: Ensuring the best person in each job, in an environment of continuous development  Recruit and retain the best people for the job. Make good use of succession planning to develop and replace individuals effectively. Establish and maintain good employee relations within the Finance Department.  Aim to maximize efficiency in the accounting department. We should aim for optimum staffing levels by joining and leveraging Nanjing FSSC. Recognize that a highly organized Accounts Office is often a sign of effective management.  Develop the effectiveness of the hotel finance function through the ongoing training and development of the team. Lead and motivate the team to high levels of performance.  Ensure you manage specific measurable objectives. Give regular feedback including appraisals.  Both the Director of Finance and Assistant Financial Controller should have a personal development plan.  Provide training to enhance the financial skills of the Management Team as a whole. Utilize tools such as Hilton University & Hilton LEXUE. Cash & Working Capital: Optimize cash position in an environment of tight control  Minimize the level of working capital, with particular emphasis on the management of debtors, and receivables.  Maintain accurate cash flow forecasts for at least one year ahead, and ensure adequate notice is given to Hilton, and to Owners, of any future cash requirements.  Ensure full reconciliation of all bank accounts on a weekly basis. The highest standards of control must be always maintained over all cash and bank balances.  The role of the Director of Finance is to establish robust credit control and credit management policies with the General Manager and the Commercial Director within the guidelines set out by Group policy and following best practice principles – once established the Commercial Director applies such policies and controls.  It is the responsibility of the Director of Finance to ensure that controls over accounts receivable are being applied correctly and to take action to rectify any problems identified if they are not.  The Director of Finance must review all accounts receivable with the Commercial Director monthly and ensure that there are no recoverability issues.  It is the responsibility of the Director of Finance to maintain an appropriate reserve for bad or doubtful debts. Cost Management: Support the operation to optimize efficiency of the cost base  Understand and measure the cost of drivers for the hotel. Utilize innovative analysis to stimulate thought and management action.  Ensure that adequate purchasing procedures are in operation so that purchases of goods and services are made in the most cost-effective manner.  Benchmark costs against other comparable hotels. Identify cost reduction opportunities. Manage financial risks of the business.  Set an example for the hotel by operating an efficient and cost-effective finance department. 任职资格:  Bachelor’s degree and above. Financial/Accounting major and certificate, e.g. ACCA/ CPA are preferred.  A minimum of 5-8 years of experience in finance, with at least 2-3 years in finance leadership role such as Finance Manager or Financial Controller.  Maintaining rigorous adherence to financial regulations, standards, and internal controls.  Proficiency in financial software and Microsoft Office applications. Knowledge of accounting principles, financial reporting standards, and budgeting processes is crucial.  Advance Financial capability, including strong analytical skills to interpret financial data, create forecasts, and develop budget plans.  Good verbal and written communication skills are required.  Fluent in written and spoken English
  • 国际高端酒店/5星级 | 2000人以上
    • 投递简历
    工作职责: Financial Accounting & Control: Best practice financial accounting processes in a robust control environment  Overall management of the accounting records and financial reports of the hotel ensuring compliance with company, owner, statutory and fiscal requirements and timetables.  Where applicable the above must include the accounts for Hilton’s branch or subsidiary.  Ensure that the balance sheet is a fair reflection of the assets and liabilities of the hotel. The balance sheet must be regularly reviewed and reconciliations performed of all accounts.  Ensure compliance with the management agreement with Hilton, and any Owner / Lease agreement.  Maintain a focused system of internal controls, which will provide effective and efficient control over the hotel assets, liabilities, revenue and costs. Ensure compliance with company policy.  Maintain control over the Hotel’s assets, liabilities, income and expenditure on behalf of both the Operator and Owner and provide management, leadership and accountability for the financial performance of the hotel.  Ensure legal and tax compliance and that adequate insurance cover is maintained. Manage the pension scheme, where applicable, ensuring that adequate accounting, actuarial and legal controls are in place.  Ensure valid permits and licenses have been obtained for such matters as importation, currency transfers and hotel operations (bars, clubs, casinos etc.). Take responsibility for the safekeeping and updating of all leases and contracts, which may affect the financial status of the hotel.  Liaise and co-operate with both Internal and External Audit. Ensure that an effective programmed of in-hotel audit is in place and that corrective action is promptly taken where required. Give particular emphasis to ensuring that all revenue is captured. Make use of a monthly control checklist. Conducts interim self-audits as required.  Develop best practice financial accounting and control procedures. Financial reporting and control to be areas of continuous review and development with the aim of maximizing both impact and efficiency. Management Reporting: Focused, innovative and balanced reporting that stimulates management action  Develop high quality management information and performance measurement that is timely, accurate. Reporting should be thought provoking and action oriented.  Implement reporting that incorporates benchmarking, identification and measurement of key performance indicators, and use of the balanced scorecard. Reporting should not only look to historical performance within the hotel, but also outwards and forwards.  Ensures corporate reporting is timely and accurate. Ensures that all corporate reporting is internally consistent and that, inter alia, Datalink report, Pro-plan system, management reports, trends of operation reports, incremental conversion reports, profit and loss statements, balance sheets and cash flow reports reconcile to the trial balance. Maintains proof of such reconciliations which are conducted each month. Business Support: Provision of the highest standards of financial and commercial support to the Business  Support and advice on financial matters to the General Manager and to the hotel team, including the interpretation of financial data.  Review management information for the hotel and make proposals for the General Manager for value added initiatives. Where appropriate, play the “Devil’s Advocate” to challenge practices and proposals.  Provide financial skills to support business development initiatives Information Technology & Systems: Optimize the use of I.T. within the finance department to improve efficiency and information  With Project Managers, support the implementation of financial and related systems in the hotel.  With the ISM ensure proper use and maintenance of financial systems, including adequate security and back-up procedures.  Acts as the guardian of the integrity of data flowing into the accounting system. Ensures that control process is sound in systems that interface directly or indirectly with the accounting system. Works with colleagues to ensure that errors are corrected at source and processes amended as required to eliminate rather than correct errors.  Continually develops the usage of financial systems to ensure the highest levels of management reporting, processing and staffing efficiency and thereby return on investment. Investment Optimizing returns on capital investment  Utilize project evaluation techniques to assist in directing investment to those projects which optimize returns for the projects.  Prepare the annual capital plan and direct implementation of this plan, ensuring funding and necessary buying (eg. Owners) are in place so that the note can be kept at the highest possible standard.  Prepare and review the AFE, ensuring financial accuracy and sound commercial and business judgment is applied to the process, and that authorization is obtained prior to commitment of the hotel to expenditure.  Perform post investment audit on major capital investments. Communicates results of post investment reviews within the management team and ensures actions are taken to learn from such results and maximize returns.  Ensure compliance with HI capital policy. Maintain proper control and recording of project spending. Looking Ahead: Operating against meaningful strategic plans and budgets with accurate forecasting  Take a support role to the General Manager in hotel strategic planning. Emphasis on Master-Planning and “thinking outside the box” to identify value opportunities.  Manage the formulation, review and approval process for budgeting within the hotel.  Ensure a regular cycle of forecasting takes place within the hotel with content and detail appropriate to the needs of the operation.  Provides alerts to senior management and to Area/Regional office via regular forecasts, outlook reports or via ad hoc reporting concerning positive or negative trends in the business. Works with colleagues and the General Manager to ensure consistency and accuracy of communication regarding future trends in the business. AVOIDS SURPRISES. Investment in People: Ensuring the best person in each job, in an environment of continuous development  Recruit and retain the best people for the job. Make good use of succession planning to develop and replace individuals effectively. Establish and maintain good employee relations within the Finance Department.  Aim to maximize efficiency in the accounting department. We should aim for optimum staffing levels by joining and leveraging Nanjing FSSC. Recognize that a highly organized Accounts Office is often a sign of effective management.  Develop the effectiveness of the hotel finance function through the ongoing training and development of the team. Lead and motivate the team to high levels of performance.  Ensure you manage specific measurable objectives. Give regular feedback including appraisals.  Both the Director of Finance and Assistant Financial Controller should have a personal development plan.  Provide training to enhance the financial skills of the Management Team as a whole. Utilize tools such as Hilton University & Hilton LEXUE. Cash & Working Capital: Optimize cash position in an environment of tight control  Minimize the level of working capital, with particular emphasis on the management of debtors, and receivables.  Maintain accurate cash flow forecasts for at least one year ahead, and ensure adequate notice is given to Hilton, and to Owners, of any future cash requirements.  Ensure full reconciliation of all bank accounts on a weekly basis. The highest standards of control must be always maintained over all cash and bank balances.  The role of the Director of Finance is to establish robust credit control and credit management policies with the General Manager and the Commercial Director within the guidelines set out by Group policy and following best practice principles – once established the Commercial Director applies such policies and controls.  It is the responsibility of the Director of Finance to ensure that controls over accounts receivable are being applied correctly and to take action to rectify any problems identified if they are not.  The Director of Finance must review all accounts receivable with the Commercial Director monthly and ensure that there are no recoverability issues.  It is the responsibility of the Director of Finance to maintain an appropriate reserve for bad or doubtful debts. Cost Management: Support the operation to optimize efficiency of the cost base  Understand and measure the cost of drivers for the hotel. Utilize innovative analysis to stimulate thought and management action.  Ensure that adequate purchasing procedures are in operation so that purchases of goods and services are made in the most cost-effective manner.  Benchmark costs against other comparable hotels. Identify cost reduction opportunities. Manage financial risks of the business.  Set an example for the hotel by operating an efficient and cost-effective finance department. 任职资格:  Bachelor’s degree and above. Financial/Accounting major and certificate, e.g. ACCA/ CPA are preferred.  A minimum of 5-8 years of experience in finance, with at least 2-3 years in finance leadership role such as Finance Manager or Financial Controller.  Maintaining rigorous adherence to financial regulations, standards, and internal controls.  Proficiency in financial software and Microsoft Office applications. Knowledge of accounting principles, financial reporting standards, and budgeting processes is crucial.  Advance Financial capability, including strong analytical skills to interpret financial data, create forecasts, and develop budget plans.  Good verbal and written communication skills are required.  Fluent in written and spoken English
  • 总账会计

    6千-7千
    北京 | 经验不限 | 学历不限 | 提供食宿
    国际高端酒店/5星级 | 50-99人
    • 投递简历
    【岗位职责】 1、带领下属会计员遵守财经纪律,执行财务制度,严格执行《会计法》。 2、负责月末会计核算处理,确保账账相符、账证相符、账表相符。 3、负责统计报表的编制和报送工作,按规定时间及时报送。 4、审核各类记账凭证和编制会计凭证。 5、审查和清理账户,账簿摘要内容要求完整和精炼。 6、协助信贷会计组织资金回收;协助成本会计和资产会计定期进行财产、物资和材料的盘点工作。 7、审核每日现金、银行存款日报表,并在签章后,报送财务总监。 【岗位要求】 1、同岗位工作经验3年以上,退休女性优先,年龄50-57岁之间。 2、熟悉酒店帐务税务流程。 3、熟悉办公软件及财务软件,熟悉银行、锐务、工商的工作流程。 4、能独立核算企业的账务工作,懂得相关法律法规。 5、工作细致、严谨,具有较强的工作热情和责任感。 6、为人诚实可靠,品质正直,有吃苦耐劳的精神。
  • 主办会计

    6千-8千
    金华 | 2年以上 | 大专 | 提供食宿
    • 技能培训
    • 带薪年假
    • 管理规范
    • 领导好
    • 出国旅游
    • 员工生日礼物
    • 年度旅游
    • 包吃包住
    • 五险一金
    • 美女多
    国内高端酒店/5星级 | 100-499人
    • 投递简历
    【岗位职责】 1、负责公司日常财务核算工作,包括但不限于账务处理、凭证审核、报表编制等; 2、定期编制财务报表(资产负债表、利润表、现金流量表等),确保数据准确、及时; 3、负责税务申报及税务筹划工作,确保公司税务合规,合理降低税务成本; 4、监督公司资金流动情况,确保资金使用合理、安全,定期进行资金分析; 5、负责公司固定资产管理,定期盘点并核对账实情况; 6、协助完成年度审计工作,提供相关财务资料及数据支持; 7、配合其他部门完成财务相关事项,如成本核算、预算编制等; 8、完成上级领导交办的其他财务相关工作。 【岗位要求】 1、具备扎实的会计基础知识,熟悉企业会计准则及相关财税法规; 2、熟练使用财务软件(如用友、合泰等)及办公软件(Excel、Word等); 3、具备较强的数据分析能力,能够独立完成财务报表编制及分析工作; 4、工作细致、责任心强,具备良好的沟通能力和团队协作精神; 5、有酒店行业财务工作经验者优先考虑; 6、持有初级会计职称及以上证书者优先。
  • 国外 | 3年以上 | 中专 | 提供食宿
    • 工伤制度
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 包吃包住
    • 管理规范
    • 节假日福利
    • 生日福利
    • 康养课程
    • 员工活动
    国际高端酒店/5星级 | 50-99人
    • 投递简历
    【岗位职责】 1、编制上报各种财务报表,提供各种财务数据,上交各种税费。 2、审核当月员工的工资汇总表和记帐证。 3、根据酒店支付情况随时向财务总监提供分析报告,控制费用开支,不超预算。 4、了解海外的税务情况,做好各项税收的申报和交纳工作。 【岗位要求】 1、大专以上学历,具有3年以上财务管理经验 。 2、熟悉酒店帐务税务流程。 3、熟悉办公软件及财务软件,熟悉银行、税务的工作流程。 4、能独立核算企业的账务工作,懂得相关法律法规。 5、工作细致、严谨,具有较强的工作热情和责任感,为人诚实可靠,品质正直,有吃苦耐劳的精神。
  • 苏州 | 经验不限 | 学历不限 | 提供食宿
    • 五险一金
    • 带薪年假
    • 包吃包住
    • 岗位晋升
    • 管理规范
    • 技能培训
    • 人性化管理
    • 年底多薪
    • 员工生日礼物
    • 活动多样
    国际高端酒店/5星级 | 100-499人
    • 投递简历
    岗位职责 - 审核收货记录,确保收货的准确,核对收货记录与采购单是否一致 - 审批库房及部门的采购申请单,确保库房及部门采购数量的合理性,避免因不合理的采购造成的浪费及损坏。 - 对新增的菜品及酒水进行成本核算,制定出合理的售价。并及时的跟踪市场及时的调整售价,控制餐饮成本。 - 对各运营部门进行不定期检查,检查各运营部门日常工作中是否有不符合酒店成本控制的疏漏和错误,检查各运营部门日常工作并出具检查报告。 - 定期检查库房及收货平台,确保库房及收货平台的环境及卫生符合食品卫生条例,避免因贮存不当造成的损失。 - 安排并发送月末盘点计划,组织月末盘点,确保盘点顺利完成。 - 与总帐核对库存并提交余额调节表,确保帐实相符。 - 组织并引导每季度的布草及器皿盘点,出具盘点报告,对盘点差异进行帐务处理。 岗位要求 - 良好的电脑操作技能和沟通能力, - 有责任感和专业的工作态度。 - 温馨提示:投递简历时请务必附上近期证件照。
  • 国际高端酒店/5星级 | 2000人以上
    • 投递简历
    With thousands of hotels in over 100 countries and territories, Hilton offers countless opportunities to delight. From an open door to a welcoming smile and an exceptional experience, we offer the millions of travellers who stay with us every year a welcome they will never forget. In addition to our flagship brand, Hilton Hotels & Resorts, the family of brands includes Waldorf Astoria, LXR, Conrad, Canopy, Curio Collection, DoubleTree, Hilton Garden Inn, Hampton and many others. If you appreciate the impact global travel can have on the world, you may be just the person we are looking for to work as a Hilton Team Member. Because it’s with Hilton where we never forget the reason we're here: to delight our guests, Team Members, and owners alike. The Director of Finance is an integral part of the 4D structure within the hotel, providing support and technical expertise to other members of the team. This role is responsible for all accounting and financial requirements for the hotel in an environment of tight control. He / she will provide financial support, advice and expertise to the General Manager and hotel team, with the aim of maximizing value, developing the quality of the Finance function within the hotel. What will I be doing? As the Director of Finance, you will be responsible for performing the following tasks to the highest standards: Financial Accounting & Control: Best practice financial accounting processes in a robust control environment • Overall management of the accounting records and financial reports of the hotel ensuring compliance with company, owner, statutory and fiscal requirements, and timetables. • Where applicable the above must include the accounts for Hilton International’s branch or subsidiary. • Ensure that the balance sheet is a fair reflection of the assets and liabilities of the hotel. The balance sheet must be regularly reviewed, and reconciliations performed of all accounts. • Ensure compliance with the Management agreement with Hilton International, and any Owner / Lease agreement. • Maintain a focused system of internal controls, which will provide an effective and efficient control over the hotel assets, liabilities, revenue and costs, ensuring compliance with company policy. • Maintain control over the hotel’s assets, liabilities, income and expenditure on behalf of both the Operator and Owner and provide management, leadership and accountability for the financial performance of the hotel. • Ensure legal and tax compliance and that adequate insurance cover is maintained managing the pension scheme, where applicable, ensuring that adequate accounting, actuarial and legal controls are in place. • Ensure valid permits and licenses have been obtained for such matters as importation, currency transfers and hotel operations (bars, clubs, casinos etc.). • Take responsibility for the safekeeping and updating of all leases and contracts, which may affect the financial status of the hotel. • Liaise and co-operate with both Internal and External Audit, ensuring that an effective program of in-hotel audit is in place and that corrective action is promptly taken where required. • Give particular emphasis to ensuring that all revenue is captured, making use of a monthly control checklist and conduct interim self-audits as required. • Develop best practice financial accounting and control procedures, with continuous review and development with the aim of maximizing both impact and efficiency. Management Reporting: Focused, innovative and balanced reporting that stimulates management action. • Develop high quality management information and performance measurement that is timely and accurate. Reporting should be thought provoking and action oriented. • Implement reporting that incorporates benchmarking, identification and measurement of key performance indicators, and use of the balanced scorecard. Reporting should not only look to historical performance within the hotel, but also outward and forward. • Ensure corporate reporting is timely and accurate, internally consistent and that, inter alia, Datalink report, Pro-plant system, management reports, trends of operation reports, incremental conversion reports, profit and loss statements, balance sheets and cash flow reports reconcile to the trial balance. Maintain proof of such reconciliations which are conducted each month. Business Support: Provision of the highest standards of financial and commercial support to the Business. • Support and advice on financial and commercial matters to the General Manager and to the hotel team, including the interpretation of financial data. • Review management information for the hotel and make proposals for the General Manager for value added initiatives. Where appropriate, play the “Devil’s Advocate” to challenge practices and proposals. • Provide financial and commercial skills to support business development initiatives, major pricing decisions and other commercial decision-making. Information Technology & Systems: Optimize the use of I.T. within the finance department to improve efficiency and information. • With Project Managers, support the implementation of financial systems in the hotel. • With the ISM ensure proper use and maintenance of financial systems, including adequate security and back up procedures. • Act as the guardian of the integrity of data flowing into the accounting system, ensuring that the control process is sound in systems that interface directly or indirectly with the accounting system. • Work with colleagues to ensure that errors are corrected at source and processes amended as required to eliminate rather than correct errors. • Continually develop the usage of financial systems in order to ensure highest levels of management reporting, processing and staffing efficiency and thereby return on investment. Investment Optimizing returns on capital investment. • Utilize project evaluation techniques to assist in directing investment to those projects which optimize returns both for the individual project and the enterprise as a whole. • Prepare annual capital plan and direct implementation of this plan, ensuring funding and necessary buying (e.g. Owners) are in place so that the note can be kept at the highest possible standard. • Prepare and review the AFE, ensuring financial accuracy and sound commercial and business judgment is applied to the process, and that authorization is obtained prior to commitment of the hotel to expenditure. • Perform post investment audit on major capital investments, communicating results of post investment reviews within the Management team and ensures actions are taken to learn from such results and maximize returns. • Ensure compliance with HI capital policy, maintaining proper control and recording of project spends. • Where applicable, prepare review and be involved in the production of financials for new developments and acquisitions. Looking Ahead: Operating against meaningful strategic plans and budgets with accurate forecasting. • Take a support role to the General Manager in hotel strategic planning, with particular emphasis on Master-Planning and “thinking outside the box” to identify value opportunities. • Manage the formulation, review and approval process for budgeting within the hotel. • Ensure a regular cycle of forecasting takes place within the hotel with content and detail appropriate to the needs of the operation. • Provides alerts to Senior Management and to Area Office via regular forecasts, outlook reports or via ad-hoc reporting concerning positive or negative trends in the business. • Work with colleagues and the General Manager to ensure consistency and accuracy of communication regarding future trends in the business. Avoid surprises. Investment in People: Ensuring the best person in each job, in an environment of continuous development. • Recruit and retain the best people for the job, especially at Assistant Controller level, making use of succession planning to develop and replace individuals effectively. • Establish and maintain good employee relations within the Finance department. • Aim to maximize efficiency in the accounting department and optimum staffing levels. • Recognize that a highly organized Accounts office is often a sign of an efficient department. • Develop the effectiveness of the hotel finance function through the ongoing training and development of the team. • Lead and motivate the team to high levels of performance. • Ensure that you manage to specific measurable objectives, giving regular feedback including appraisals. • Both the Director of Finance and Assistant Financial Controller should have a personal development plan. • Provide training to enhance the financial skills of the Management Team as a whole, utilizing tools such as Hilton University and Hilton LEXUE. Cash & Working Capital: Optimize cash position in an environment of tight control • Minimize the level of working capital, with particular emphasis on the management of debtors, stocks and sundry receivables. • Maximize interest earnings and minimize interest expense. • Maintain accurate cash flow forecasts for at least one year ahead, and ensure adequate notice is given to Hilton, and to Owners, of any future cash requirements. • Ensure full reconciliation of all bank accounts on a weekly basis, maintaining the highest standards of control over all cash and bank balances at all times. • The role of the Director of Finance is to establish robust credit control and credit management policies with the General Manager and the Commercial Director within the guidelines set out by Group Policy and following best practice principles – once established, the Director of Business Development applies such policies and controls. • It is the responsibility of the Director of Finance to ensure that controls over accounts receivable are being applied correctly and to take action to rectify any problems identified if they are not. • The Director of Finance must review all accounts receivables with the Commercial Director on a monthly basis and ensure that there are no recoverability issues. • It is the responsibility of the Director of Finance to maintain an appropriate reserve for bad or doubtful debts. Cost Management: Support the operation to optimize efficiency of the cost base • Understand and measure cost drivers for the hotel, utilizing innovative analysis to stimulate thought and management action. • Ensure that adequate purchasing procedures are in operation so that purchases of goods and services are made in the most cost-effective manner. • Benchmark costs against other hotels, identifying cost reduction opportunities and managing financial risks of the business. • Set an example to the hotel by operating an efficient and cost-effective Finance department.
  • 上海-浦东新区 | 5年以上 | 大专 | 提供吃
    • 管理规范
    • 人性化管理
    • 五险一金
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 绩效奖金
    • 做五休二
    • 员工餐
    • 投递简历
    Job title : Finance Manager Responsibilities Finance and Reporting ● As a Finance Business Partner to both Operation and Management, review the cost driver (menu costing, labor cost), aiming for cost optimisation and driving efficiency. Analysing the financial information, provide and add value that will assist in decision making. ● Responsible for timely preparation of monthly and yearly accounts, including Monthly / Quarterly commentary on financial and operational aspects to both internal and external stakeholders ● Support the coming data request from regional ● Ensure timely issuance of invoices and collection from Client ● Support Business Review: - Drive business reviews: monthly country reviews, business reviews with Client and Region, and ad hoc reviews - Drive monthly review of financial results with Country ● Be responsible in performing Forecast & Budget for Sodexo and client. Legal Support: ● Responsible for driving the financial and commercial performance of the contracts alongside the Site Account Director and ensuring risk mitigation plans are in place. ● Provide contractual and client insight to drive the contract/site performance in accordance with the financial terms of the contracts ● Understanding the details of the contract model to ensure Sodexo is both compliant and delivers value for shareholders. ● To develop and deliver contract training, to ensure all resources understand the contract levers and process and when to use them and ensure contract compliance to the financial terms Operations Support: ● Working with Site Manager & Head Chef in establishing monthly purchase budget based on the on-going operational needs, closing stock, menu, users and # of business day. Ensuring the Food and MK cost are not exceeded the approved cost per pax per day (CPPPD). ● Track actual weekly purchase cost vs budget set and provide variance analysis and indication of the planning accuracy for all cost elements, ensuring the total spend is not exceeding the approved budget. ● Supporting operations in identifying & implementing action plans to bring cost efficiencies ● Constantly review and flag the risk as required to the Site Lead Internal Control: ● Ensuring appropriate internal governance, in line with DOA and ensuring internal governance Is aligned to the contractual governance framework, including and not limited to the ares of - Inventory management - Procurement management - Payroll management - Financial reporting management ● Conduct internal audit as required and propose recommendations to improve processes Key Competencies: ● Education: A Bachelor Degree in Business Administration, or Financial Discipline; An MBA Degree or equivalent is highly recommended. ● Experience: At least Minimum 10 years of experience in finance and cost controller/at least 5 years at an executive management level. ● Language / Numeric Ability – Ability to read, analyze, and interpret common scientific and technical journals, financial reports, and legal documents. ● Reasoning Ability – Ability to define problems, collect data, establish facts, and draw valid conclusions. Ability to interpret an extensive variety of technical instructions in mathematical or diagram form and deal with several abstract and concrete variables. ● Good in presentations ● Eager for a significant operational exposure to be support and partner to operations ● Relationship builder internally among finance, operations, OE Teams ● Process-orientation ● Pro-active approach with an ability to work in autonomy and proven ability to work in a collaborative way ● Excellent communication and interpersonal skills
  • 收益管理经理

    1.6万-2.3万
    嘉兴 | 5年以上 | 本科
    • 五险一金
    • 技能培训
    • 岗位晋升
    • 管理规范
    • 领导好
    • 帅哥多
    • 美女多
    • 员工生日礼物
    • 午餐补贴
    • 包吃包住
    国内高端酒店/5星级 | 2000人以上
    • 投递简历
    岗位职责: 搭建并完善酒店收益管理体系,制定动态定价策略与收益优化方案; 负责市场数据与预订趋势分析,预测需求,优化库存分配管理; 统筹各渠道价格体系管理,监控OTA、直销、团队等渠道价格与房态; 制定年度收益预算与经营预测,跟踪目标达成情况并及时调整策略; 协同销售、前厅、餐饮等部门落地收益策略,提高酒店整体营收; 负责收益管理系统维护与优化,定期输出收益分析报告与改进建议。 任职要求: 高端酒店/餐饮集团工作经验,具备完整收益管理体系搭建与落地经验; 本科及以上学历,3年以上酒店收益管理岗位经验,有同岗位成功案例; 精通动态房价策略与收益模型,熟悉酒店收益管理系统操作; 具备极强的数据敏感度与数据分析能力,能预测市场趋势; 熟悉OTA运营与多渠道价格管理,具备跨部门协同推动能力; 具备良好的逻辑思维与沟通能力,英语熟练,能承受工作压力。
  • 三亚 | 经验不限 | 大专 | 提供食宿
    • 五险一金
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 管理规范
    • 员工生日礼物
    • 包吃包住
    • 人性化管理
    • 帅哥美女多
    • 高额年终奖金
    国际高端酒店/5星级 | 500-999人
    • 投递简历
    ·         根据采购申请单或每日食品订货单核实和清点验收的货品。 ·         确保所有所收的货品符合采购订货要求、质量良好且符合具体规格要求。 ·         退还不符合验收标准的货品。 ·         尽快将验收合格的货物移交仓储区域,减少和避免员工偷盗以及货物腐烂变质等。 ·         保存酒店所有收货物品及退还货品的相关凭单。 ·         每天对酒店采购的货品填写收货记录汇总。 ·         根据需要联系仓库搬运工或管事部员工清洁收货通道,以确保收货台的清洁。 ·         熟悉精通所有酒店经营设备的型号和规格等内容,包括保存好产品目录,样品图片以及产品的其他相关资料 ·         履行其他规定的职责。
  • 国际高端酒店/5星级 | 2000人以上
    • 投递简历
    工作职责: Key Responsibilities Financial Accounting & Control: Best practice financial accounting processes in a robust control environment  Overall management of the accounting records and financial reports of the hotel ensuring compliance with company, owner, statutory and fiscal requirements and timetables.  Where applicable the above must include the accounts for Hilton’s branch or subsidiary.  Ensure that the balance sheet is a fair reflection of the assets and liabilities of the hotel. The balance sheet must be regularly reviewed and reconciliations performed of all accounts.  Ensure compliance with the management agreement with Hilton, and any Owner / Lease agreement.  Maintain a focused system of internal controls, which will provide effective and efficient control over the hotel assets, liabilities, revenue and costs. Ensure compliance with company policy.  Maintain control over the Hotel’s assets, liabilities, income and expenditure on behalf of both the Operator and Owner and provide management, leadership and accountability for the financial performance of the hotel.  Ensure legal and tax compliance and that adequate insurance cover is maintained. Manage the pension scheme, where applicable, ensuring that adequate accounting, actuarial and legal controls are in place.  Ensure valid permits and licenses have been obtained for such matters as importation, currency transfers and hotel operations (bars, clubs, casinos etc.). Take responsibility for the safekeeping and updating of all leases and contracts, which may affect the financial status of the hotel.  Liaise and co-operate with both Internal and External Audit. Ensure that an effective programmed of in-hotel audit is in place and that corrective action is promptly taken where required. Give particular emphasis to ensuring that all revenue is captured. Make use of a monthly control checklist. Conducts interim self-audits as required.  Develop best practice financial accounting and control procedures. Financial reporting and control to be areas of continuous review and development with the aim of maximizing both impact and efficiency. Management Reporting: Focused, innovative and balanced reporting that stimulates management action  Develop high quality management information and performance measurement that is timely, accurate. Reporting should be thought provoking and action oriented.  Implement reporting that incorporates benchmarking, identification and measurement of key performance indicators, and use of the balanced scorecard. Reporting should not only look to historical performance within the hotel, but also outwards and forwards.  Ensures corporate reporting is timely and accurate. Ensures that all corporate reporting is internally consistent and that, inter alia, Datalink report, Pro-plan system, management reports, trends of operation reports, incremental conversion reports, profit and loss statements, balance sheets and cash flow reports reconcile to the trial balance. Maintains proof of such reconciliations which are conducted each month. Business Support: Provision of the highest standards of financial and commercial support to the Business  Support and advice on financial matters to the General Manager and to the hotel team, including the interpretation of financial data.  Review management information for the hotel and make proposals for the General Manager for value added initiatives. Where appropriate, play the “Devil’s Advocate” to challenge practices and proposals.  Provide financial skills to support business development initiatives Information Technology & Systems: Optimize the use of I.T. within the finance department to improve efficiency and information  With Project Managers, support the implementation of financial and related systems in the hotel.  With the ISM ensure proper use and maintenance of financial systems, including adequate security and back-up procedures.  Acts as the guardian of the integrity of data flowing into the accounting system. Ensures that control process is sound in systems that interface directly or indirectly with the accounting system. Works with colleagues to ensure that errors are corrected at source and processes amended as required to eliminate rather than correct errors.  Continually develops the usage of financial systems to ensure the highest levels of management reporting, processing and staffing efficiency and thereby return on investment. Investment Optimizing returns on capital investment  Utilize project evaluation techniques to assist in directing investment to those projects which optimize returns for the projects.  Prepare the annual capital plan and direct implementation of this plan, ensuring funding and necessary buying (eg. Owners) are in place so that the note can be kept at the highest possible standard.  Prepare and review the AFE, ensuring financial accuracy and sound commercial and business judgment is applied to the process, and that authorization is obtained prior to commitment of the hotel to expenditure.  Perform post investment audit on major capital investments. Communicates results of post investment reviews within the management team and ensures actions are taken to learn from such results and maximize returns.  Ensure compliance with HI capital policy. Maintain proper control and recording of project spending. Looking Ahead: Operating against meaningful strategic plans and budgets with accurate forecasting  Take a support role to the General Manager in hotel strategic planning. Emphasis on Master-Planning and “thinking outside the box” to identify value opportunities.  Manage the formulation, review and approval process for budgeting within the hotel.  Ensure a regular cycle of forecasting takes place within the hotel with content and detail appropriate to the needs of the operation.  Provides alerts to senior management and to Area/Regional office via regular forecasts, outlook reports or via ad hoc reporting concerning positive or negative trends in the business. Works with colleagues and the General Manager to ensure consistency and accuracy of communication regarding future trends in the business. AVOIDS SURPRISES. Investment in People: Ensuring the best person in each job, in an environment of continuous development  Recruit and retain the best people for the job. Make good use of succession planning to develop and replace individuals effectively. Establish and maintain good employee relations within the Finance Department.  Aim to maximize efficiency in the accounting department. We should aim for optimum staffing levels by joining and leveraging Nanjing FSSC. Recognize that a highly organized Accounts Office is often a sign of effective management.  Develop the effectiveness of the hotel finance function through the ongoing training and development of the team. Lead and motivate the team to high levels of performance.  Ensure you manage specific measurable objectives. Give regular feedback including appraisals.  Both the Director of Finance and Assistant Financial Controller should have a personal development plan.  Provide training to enhance the financial skills of the Management Team as a whole. Utilize tools such as Hilton University & Hilton LEXUE. Cash & Working Capital: Optimize cash position in an environment of tight control  Minimize the level of working capital, with particular emphasis on the management of debtors, and receivables.  Maintain accurate cash flow forecasts for at least one year ahead, and ensure adequate notice is given to Hilton, and to Owners, of any future cash requirements.  Ensure full reconciliation of all bank accounts on a weekly basis. The highest standards of control must be always maintained over all cash and bank balances.  The role of the Director of Finance is to establish robust credit control and credit management policies with the General Manager and the Commercial Director within the guidelines set out by Group policy and following best practice principles – once established the Commercial Director applies such policies and controls.  It is the responsibility of the Director of Finance to ensure that controls over accounts receivable are being applied correctly and to take action to rectify any problems identified if they are not.  The Director of Finance must review all accounts receivable with the Commercial Director monthly and ensure that there are no recoverability issues.  It is the responsibility of the Director of Finance to maintain an appropriate reserve for bad or doubtful debts. Cost Management: Support the operation to optimize efficiency of the cost base  Understand and measure the cost of drivers for the hotel. Utilize innovative analysis to stimulate thought and management action.  Ensure that adequate purchasing procedures are in operation so that purchases of goods and services are made in the most cost-effective manner.  Benchmark costs against other comparable hotels. Identify cost reduction opportunities. Manage financial risks of the business.  Set an example for the hotel by operating an efficient and cost-effective finance department. 任职资格:  Bachelor’s degree and above. Financial/Accounting major and certificate, e.g. ACCA/ CPA are preferred.  A minimum of 5-8 years of experience in finance, with at least 2-3 years in finance leadership role such as Finance Manager or Financial Controller.  Maintaining rigorous adherence to financial regulations, standards, and internal controls.  Proficiency in financial software and Microsoft Office applications. Knowledge of accounting principles, financial reporting standards, and budgeting processes is crucial.  Advance Financial capability, including strong analytical skills to interpret financial data, create forecasts, and develop budget plans.  Good verbal and written communication skills are required.  Fluent in written and spoken English
  • 收益管理

    1.5万-2万
    江门 | 5年以上 | 本科
    • 五险一金
    • 节日礼物
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 管理规范
    • 人性化管理
    • 员工生日礼物
    • 领导好
    • 投递简历
    收益管理 【岗位职责】 1、负责景区门票、酒店、餐饮等核心产品的收益预测与动态定价策略制定,实现收入提升。 2、基于历史经营数据、市场趋势及竞品分析,构建收益模型,定期输出分析报告。 3、监控各渠道销售进度,协同营销团队调整促销方案,优化库存分配与渠道组合。 4、参与年度预算编制,量化收入目标并分解至各业务板块,跟踪执行偏差。 5、建立收益看板,为管理层提供实时决策支持,识别增收机会与风险点。 【岗位要求】 1、本科学历、具有5年以上相关经验、具备强烈数据敏感度与逻辑分析能力。 2、熟练使用Excel、SQL或Python等数据分析工具,能独立完成数据提取与建模。 3、熟悉酒店、旅游或度假区行业收益管理原理,有相关项目经验者优先。 4、具备跨部门沟通能力,能推动策略落地并应对突发市场变化。 5、结果导向,抗压能力强,对收入增长目标有持续驱动力。
  • 总会计师

    8千-1万
    广州 | 经验不限 | 学历不限 | 提供食宿
    • 包吃包住
    • 五险一金
    • 管理规范
    • 领导好
    • 洲际员工价
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 人性化管理
    • 美女多
    • 投递简历
    【岗位职责】 1、管理酒店日常财务管理工作。 2、建立财务管理体系,完善各项财务管理制度。 3、完善内部控制体系,检查财务运行情况。 4、监督检查酒店财务运做和资金收支情况。 5、负责与财政、税务等有关部门保持良好的关系。 6、帮助会计人员解决会计核算中的疑难问题,并向财务总监报告。 7、审核每日现金、银行存款日报表,并在签章后,报送财务总监。 【岗位要求】 1.年龄45周岁以内,本科及以上学历,会计、财务管理类相关专业。 2.有3年及以上财务会计工作经验或有1及以上品牌酒店财务工作经验者优先考虑。 3.具有初级会计师以上职称,熟悉酒店帐务税务流程。 4.熟悉办公软件,熟悉银行、税务、工商的工作流程,熟悉金蝶财务软件或Oracle系统优先。 5.能独立核算企业的账务工作,懂得相关法律法规。 6.工作细致、严谨,具有较强的工作热情和责任感。 7.为人诚实可靠,品质正直,有吃苦耐劳的精神。
  • 总账会计

    8千-1万
    苏州 | 5年以上 | 本科 | 提供食宿
    • 五险一金
    • 岗位晋升
    • 员工生日礼物
    • 前景开阔
    • 人性化管理
    • 上市公司背景
    • 重视员工发展
    • 领导好
    • 技能培训
    • 带薪年假
    国内高端酒店/5星级 | 100-499人
    • 投递简历
    岗位职责: 1.负责相关的流程、作业指引和管理制度、工作细则的制定完善; 2.组织编制项目年度财务预算、结算并监督实施; 3.按会计核算制度的要求如实记录、反映项目业务活动和资产债务情况,并准确及时上报各类财务报表; 4.开展日常财务管理工作,审核并办理费用支付、业务性款项支付、现金管理等各种财务收支业务; 5.编制并执行项目公司资金计划,确保贷款资金到位、统筹安排各类付款及还贷; 6.按期进行纳税申报、缴纳税款及与税务部门联络,沟通各项税务事宜,开展税务筹划; 7. 负责外部审计的接待、配合及组织。 任职要求: 1、统招本科及以上学历,会计学、财务管理、税务学、审计学等相关专业; 2、具有酒店筹备经验,有主办/总账会计经验; 3、热爱财务工作,具有注册会计师、注册税务师、中级以上会计师职称资格等优先考虑; 4、具有良好的沟通表达能力,工作细心,自我驱动、责任心、抗压能力强。
  • 出纳

    3千-4.4千
    广州 | 1年以上 | 学历不限
    • 节假日福利
    • 提供饭餐
    • 社保
    • 星期日休息
    • 提供交通费
    • 带薪年假
    • 公司产品福利
    • 岗前培训
    • 提供住宿递增式薪金制度
    • 投递简历
    【职责内容】 你是否已经对小公司的发展空间感到窒息??你是否正为储存已久的创作能量在寻找更为广阔的战场?无论天涯海角、无论冰天雪地你都义无返顾??那么,迅速加入我们的原肽生物吧!原肽生物逾200个顶级美容项目,200名高级战士厮杀15年,原肽战场只需要想成为将军的你!装备齐全,住宿全免,五金一险,?不分国籍、不分年龄,敢挑战,你就来!!? 岗位职责: 1、负责公司现金、票据及银行存款的保管、出纳和记录; 2、负责报销审核、佣金结算等; 3、配合各部门办理电汇、信汇等有关手续; 4、协助会计做好各种帐务的处理工作; 5、完成上级交给的其它事务性工作。 任职要求: 1、会计、财务相关专业,大专以上学历,有会计从业资格证书; 2、了解国家财经政策和会计、税务法规,熟悉银行结算业务; 3、善于处理流程性事务、良好的学习能力、独立工作能力和财务分析能力。
  • 财务经理

    8千-2万
    烟台 | 3年以上 | 本科 | 食宿面议
    • 五险一金
    • 意外险
    • 定期体检
    有投必应
    有投必应
    • 投递简历
    岗位职责: 1、全面配合财务总监工作,根据财务总监的指示,督导落实执行,并根据酒店区域化财务管理,全面参与; 2、各项费用报销初审及报销后账务处理,对各项费用按财务的规范制度要求全面审核,保证合规合理; 3、协助做好月结、年结工作,及时根据公司的统一的月度、年度关账要求进行账务处理; 4、完成各板块月度报表、年度报表的编制,对酒店板块的月度报表、年度报表准确编制,并及时反馈给业务部门; 5、完成各板块财务分析报告的编制,针对分析中各项内容与业务部门沟通,并提出合理的改进建议; 6、参与预算管理及预算编制,积极参与组织各部门编制预算,并跟进进度,同时对预算执行结果与部门及时沟通; 7、配合会计事务所年报审计、税务审计、专项审计等相关审计工作。 任职条件: 1、本科及以上学历,财经类、金融投资类、管理类等相关专业。 2、年龄不超过40周岁。 3、3年及以上从事文旅行业财务经理岗位工作经验,熟精通企业会计准则及文旅行业特殊核算要求,能独立完成景区全套账务处理,掌握“零基预算+弹性预算”编制方法,能结合景区淡旺季特点动态调整预算;擅长通过“标准成本法”控制单客服务成本,熟悉文旅行业税收政策,能独立完成纳税申报、发票管理及简单税务筹划. 4、身体健康,无违法犯罪和不良记录。 5、条件特别优秀者,可适当放宽招聘条件。
  • 南京 | 8年以上 | 本科 | 提供食宿
    • 节日礼物
    • 技能培训
    • 岗位晋升
    • 领导好
    • 员工生日礼物
    • 包吃包住
    • 人性化管理
    • 管理规范
    • 美女多
    • 帅哥多
    全服务中档酒店/4星级 | 2000人以上
    • 投递简历
    集团财务总监岗位职责 1、组织编制集团税务总监、财务经理、审计经理、会计核算、会计监督、预算管理、审计监察、采购管理等工作的规范制度和工作程序。 2、组织执行国家有关财经法律、法规、方针、政策和制度,保障集团及门店的合法经营,维护集团的权益。 3、根据董事长指示和酒店的经营要求,筹集酒店运营所需资金,满足酒店战略发展的资金需求。 4、负责酒店重要投融资项目的评估和审核工作,审批酒店重大资金流向。 5、负责酒店预决算与计划管理工作。 6、负责审查核定计划外重大收支项目以及签批各部门重要用款项目。 7、定期向集团董事长、总裁汇报酒店财务收支、经营成果和资金变动情况,对酒店经营状况进行阶段性的财务分析与预测,并向集团呈报重要会计报表和财务分析报告。 8、指导监督酒店全面经济核算工作的开展。 9、审查批示财务部汇总后的营业收入报表。 11、定期或不定期地审核重要的原始凭证和记账凭证。 12、负责设置门店的总分类账,检查各种财务报告的及时性、正确性。 13、协同外部审计单位,完成外部审计工作。 14、指导部门员工开展酒店日常收入稽核和定期审计工作。 15、负责酒店主要负责人的离职审计及重大财务违规审计,向董事长及总裁提出处理意见。 15、根据酒店相关规定,组织实施年度财务收支审计、经营成果审计等各项工作。 17、审核酒店物资采购计划。 18、指导和协助采购部的各项工作,确保其按时完成采购任务,同时严格控制采购成本 19、参与主要经济合同的谈判、签署工作,并监督合同的执行情况。 20、指导、监督、培训和管理财务部人员的工作,培养有发展潜力的下属人员。 21、负责财务部各经理的考核工作,并对各个主管的考核结果进行审核。 22、做好酒店财务系统的行政事物处理工作,提高部门工作效率,增强员工的团队协作精神。 22、负责与财政、银行、税务、外汇和保险机构进行重要财务事项的沟通协调工作。 23、完成财务部其它工作及集团领导交办的临时工作。
  • 财务总监

    1万-1.5万
    南宁 | 8年以上 | 大专 | 提供食宿
    国内高端酒店/5星级 | 1000-2000人
    • 投递简历
    1.年龄50周岁以下,具有大专及以上学历,财务管理、会计学等专业优先,具有中级会计及以上职称; 2.具有8年及以上财务管理工作历,其中3年及以上酒店同岗位任职经历; 3.精通国家财经法规、税收政策及酒店财务核算体系,具备全面的预算管理、成本控制、资金筹划及财务分析能力 4.具备良好的战略思维与风险管控意识;具备优秀的团队管理能力与沟通协调能力,能够有效统筹财务团队开展工作,协调与税务、审计等外部机构的关系; 5.具有团队精神,改革创新精神,责任心强,能承受压力和接受挑战。
  • 金华 | 3年以上 | 本科 | 提供食宿
    • 技能培训
    • 带薪年假
    • 管理规范
    • 领导好
    • 出国旅游
    • 员工生日礼物
    • 年度旅游
    • 包吃包住
    • 五险一金
    • 美女多
    国内高端酒店/5星级 | 100-499人
    • 投递简历
    【岗位职责】 1. 统筹财务管控:全面负责4家酒店的账务核算、预算编制、资金规划及税务筹划,确保财务流程符合酒店行业规范与国家法规,保障财务数据真实、准确、及时。 2. 经营导向分析:深入对接各门店客房、餐饮、后勤等经营场景,定期输出财务分析报告,挖掘成本优化空间、识别营收增长点,为门店定价、促销活动及成本控制提供数据支撑。 3. 资金与风险管控:统筹集团资金调配,平衡4家门店资金需求,监控现金流健康度;建立财务风险预警机制,防范应收账款、库存管理等运营中的财务风险。 4. 团队与体系建设:搭建并管理集团财务团队,明确岗位职责、提升专业能力;优化酒店专属财务流程(如收银对账、采购报销等),提升财务工作效率。 5. 协同经营决策:作为经营核心成员,参与门店经营策略制定,从财务角度对门店业态调整、成本投入等决策提供专业意见,推动财务与业务深度融合。 【任职要求】 1. 学历与专业:本科及以上学历,会计学、财务管理等相关专业,持有中级及以上会计师职称(或CPA优先)。 2. 行业与经验:3年以上酒店行业财务管理经验,具备多门店(或连锁企业)财务统筹经验者优先;熟悉酒店行业营收结构、成本构成及相关税务政策。 3. 核心能力:具备强“经营思维”,能跳出传统核算,结合酒店经营数据提优化方案,有成本管控、盈利提升实际案例者优先。 4. 管理能力:具备团队管理与跨部门协同能力,能对接门店运营、采购等部门推动工作;逻辑清晰、抗压能力强,适应多门店统筹节奏。 5. 其他:可接受以集团核心运营地为 base,定期对接旗下4家门店财务事宜(无需频繁出差)。
  • 成本主管

    5千-6千
    成都 | 2年以上 | 大专
    • 五险一金
    • 节日礼物
    • 带薪年假
    • 岗位晋升
    • 管理规范
    • 包吃包住
    • 技能培训
    • 人性化管理
    • 员工生日礼物
    • 年终奖
    国际高端酒店/5星级 | 100-499人
    • 投递简历
    岗位职责 1.协助部门经理对酒店的库存物资的成本核算与控制,定期与有关帐目进行核对. 2.编制配餐卡,对每一种食品菜肴按消耗量编出成本计算单,为制定销售价格提供依据。 3.定期与采购部、餐饮部共同对市场价格进行调查、分析,更有效地控制进价。 4.对仓库、收货部进行工作检查,严格各种物品、食品、饮料的购入、验收、入库、出库等有关手续和标准。 5.减少库存积压,配合库房每月汇总库存物资积压表,尽量利用库存积压物资以减低成本。 岗位要求 1.财务、会计等相关专业大专以上学历。 2.具有良好的沟通、协调能力和团队协作意识。 3.熟练掌握酒店会计的基本理论及实际工作方面的知识。 4.基本了解酒店所需各种物品的名称、型号、规格、单价、用途和产地。 5.了解同类产品不同共应商提供物资质量及价格差别。 6.熟悉酒店成本控制的方法,了解酒店物资消耗的基本情况。
  • 三亚 | 经验不限 | 本科
    • 五险一金
    • 带薪年假
    • 温馨的氛围
    • 完善的福利
    • 丰富的活动
    • 系统的培训
    • 优越的位置
    • 广阔的平台
    • 节日礼物
    • 员工生日礼物
    国内高端酒店/5星级 | 500-999人
    • 投递简历
    酒店行业财务经验 英文可做工作语言 有平台岗经验更好 酒店财务背景
  • 南京 | 经验不限 | 本科 | 提供食宿
    • 五险一金
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 管理规范
    • 领导好
    • 人性化管理
    • 包吃包住
    • 投递简历
    【岗位职责】 1、审计每日收入数据,支持报告和凭证、确保每日及每月收入和付款及时调节、确保所有收入被记录和报告、确保所有礼券或免费券根据政策得到控制。 2、审查所有宴请账单及高职用餐,以确保所有被授权和签署并有合理的解释、检查免费房被合理批准。 3、审计自动挂账报告以确保所有电话收入已被挂账。 4、审计每日挂账报告中的交易,包括但不限于信用卡,城市分类帐,员工折扣,支出,折扣及减免,杂费,作废,协助准备准备每日收入报告给财务总监、确保所有被正确记录。 5、审计每日总出纳报告、检查房价差异报告以确保所有价格变动,升级等被合理批准,任何不合理差异需及时报告,确保所有支出凭证拥有合理批准。 6、审计每日餐饮报告并核对在总出纳员报告中出纳员的交款额、确保所有餐厅和酒吧的账单被正确记账、确保所有宴会收入被记入。 7、及时更新文档、进行每月备用金的盘点、进行前台保险箱审计、及时并有效地处理分配的其他工作,在月末配合完成月结工作。 【岗位要求】 1、大专及以上学历 2、具备同岗位相关工作经验优先 3、有较强的沟通协调和管理能力。 4、能较好完成上述工作职责规定的各项任务。 4、执行所有义务和责任以确保工作中自身和他人安全。 5、通过积极的态度提供礼貌和无障碍服务给客人和下属员工,始终保持愉快的工作环境
  • 财务经理

    1万-1.7万
    潍坊 | 5年以上 | 本科
    • 五险一金
    • 岗位晋升
    • 包吃包住
    • 人性化管理
    综合性酒店 | 500-999人
    • 投递简历
    一、岗位职责1、负责财经BP团队管理与赋能,提升财经BP组织能力。 2、负责预算体系、经营分析体系与业财标准建设,搭建经营分析模型,支撑业务经营:搭建成本管理体系,从不同视角提出降本增效的举措:具备从0-1的体系搭建经验,同时具有丰富的管理经验。 3、负责推动业财系统自动化与报表标准化建设,提升BP基础事务性工作效率。 4、深度参与业务,对业务决策基于财务角度进行可行性评估,提供财经支撑。 5、具备良好的沟通能力,协调能力和解决问题能力。 二、岗位任职要求 (要求叙述准确详细) 1、本科及以上学历,财务、会计、经济等相关专业 2、5年以上财经BP经验,3年以上团队管理经验: 3、精通年度预算编制、滚动预测、差异分析,主导预算体系建设: 4、具备经营分析、体系搭建、流程梳理等工作经验: 4、具备业务思维,逻辑能力强,沟通能力强; 5、具备大型企业、餐饮行业、服务业财经BP工作经验者优先。
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