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  • 上海 | 3年以上 | 本科 | 提供食宿

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    • 五险一金
    • 带薪年假
    • 技能培训
    • 岗位晋升
    • 人性化管理
    • 年度旅游
    国际高端酒店/5星级 | 500-999人
    发布于 10:25
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    Scope of Position This position performs all of the daily audit procedures necessary to ensure the balance & accuracy of all the financial operations and corresponding records of the Mandarin Oriental Pudong, Shanghai. Responsibilities include preparation of various daily reports, assisting in general ledger and month end closing activities and reporting and working closely with all revenue generating departments to ensure accurate daily reporting of Revenues for the Hotel. This individual must ensure adherence to proper revenue policies & procedures in accordance with all GAAP, Governmental & Mandarin Oriental Hotel Group Standards. Requirements Bachelors Degree in Accounting, Finance, Hospitality or other business related field of study. 3-5 years experience in Hospitality Accounting (income/night audit position) Effective management, organizational and communication skills. Ability to work flexible schedule to include weekends and holidays. Proficiency with all Windows Based software Applications. Experience in Springer Miller Systems or similar Front Office system. Strong level of proficiency in Excel. Good command of English and Mandarin. Strong Team Player, enthusiastic to learn and accomplish the Accounting Department & Mandarin Oriental Overall Goals. 职责范围 本岗位执行酒店每日收入的审计程序, 确保数据准确, 结平帐户, 凭证完整无缺. 工作职责包括编制每日收入报告, 协助总帐和月结的工作, 与运作部门紧密合作, 确保酒店日报表和收入准确无误. 遵守基本会计准则, 政府和文华东方酒店集团操作标准中与收入相关的规定和程序 职位要求 财务金融, 酒店或其他商业学科本科毕业 3-5年酒店财务工作经验(日审或夜审)具备有效的管理, 组织, 沟通技巧适应灵活的工作时间, 包括周末和节假日熟悉Windows应用软件, Springer Miller系统或类似的前台系统精通Excel软件中文和英语流利(听,写,理解) 团队合作者, 积极学习, 努力完成财务部和文华东方酒店的总体目标
  • 上海 | 2年以上 | 学历不限 | 提供食宿

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    • 五险一金
    • 节日礼物
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 管理规范
    • 员工生日礼物
    • 年终奖
    • 员工房价
    • 人性化管理
    国际高端酒店/5星级 | 500-999人
    发布于 04-18
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    Responsible for ensuring all revenues generated in the hotel are recorded accurately and discrepancies reported on a timely basis.  The Income Auditor produces the daily revenue report and reconciles all revenues against cash banked and accounts receivable movements for each day.  The Income Auditor also ensures that all revenues are recorded and reported on a daily basis and all control procedures are in place relating to the income process. 负责确保酒店所有的营业收入被准确记录,任何账目的出入及时予以汇报。收入审计员负责制作每日的收入报告,按照营业收入核对存入的现金,每天应收账款的流动。此外,日审员还负责确保营业收入每天被记录并报告,并执行与收入程序相关的管理制度。 To be responsible for the management of receivables for guests, travel agents, credit card companies, inter-hotel, owners, associates and others. Management includes but not limited to verifications of the sources of transactions, supporting documents, sending out debit notes or reminders as necessary. 负责管理客人、旅行社、信用卡公司、姐妹酒店、业主,同事和其他应收帐。管理但不限于交易核对,附件,发出收款通知和必要的催款信,收集、处理以及分析酒店的应收帐龄。
  • 上海 | 3年以上 | 学历不限 | 提供食宿

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    • 五险一金
    • 带薪年假
    • 技能培训
    • 岗位晋升
    • 管理规范
    • 人性化管理
    • 员工活动
    • 丰富员餐
    国际高端酒店/5星级 | 500-999人
    发布于 04-18
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    1.    Credit Card Processing: - To perform unannounced audits of Petty Cash disbursements to ensure proper procedures are followed and documentation is obtained. - Review and signoff the listing and reconciliation of all credit card refunds for the month. The review must include the folio with the original charge, explanation for the refund, approval for the refund, and evidence for the refund as processed against the initiating credit card number 2.    Credit Review Meetings - If DCSO results do not meet the standards established, develop schedules and actions to improve the collection time - Identify potential issues or concerns and develop schedules and actions to address them - Ensure the slabs for Accounts Receivable aging are adhered:              0 – 30 Days 64%              31 – 60 Days 24%              61 – 90 Days 8 %              91 – 120 Days 4 %              121 - 150 Days nil              Over 150 Days nil - Recommend at the credit meeting, whether to send last property collection letter (the purpose of the letter is to inform the guest that the account may be forwarded to hotel attorneys) through registered post - During credit meeting decide the action schedule for collection - Comply with ISOP requirements for recommended collection procedures 3.    City Ledger Accounting -  Monitor 3 day group departure report to ensure customer bills are being checked out on a timely basis. Work with Accounts Receivable as need to address any issues delaying checkout process 4.     Group Master Billing Account (PM Account) - Organize and maintain the Group Master Billing process and ensure that the bills sent to customers are accurate, complete, timely and consistent -  Ensure billing and collection efforts are working effectively -  Ensure all bills are send within five working days of the customer's checkout -  Ensure the transfer of the guest ledger to city ledger within two or three days of customer check out and the bills within two days of transfer to City Ledger -  Check total of all ledgers (guest/city/desposit/package) to ensure transactions for the prior day have been posted accurately; otherwise resolution is desired timely thru assistance of system administrator etc -  Ensure advance deposit ledger is tracked on a daily basis 5.     Revenue integrity -   ensure Banquet revenue audit thru reconciling BEOs and actual revenue booked including appropriate revenue account code, covers, incidental charges etc -   In case of discrepancy in bills, inform Banquet Manager & follow up on resolving discrepancy -   Verification of Rebates by generating report from Opera for Room, F&B and others, and audit if they are properly authorized and with reasonability -   To audit complimentary room listing & approval form are in place, or not; where Revenue is neither overstated nor abused -  Guarantee no shows are follow thru & charges are levied when verified, and prepare track sheet for no show recovery -  Verification of Discount comprises auditing right discounts are offered and agreed with hotel’s policies, vouchers/ card imprint are defaced and done, open discount is scrutinized and volume & authorization certified as per Hotel’s policies -  Rate Variance report is reviewed and ensure rates are applied correctly -  Report discrepancy to Reservation and ensure changes made accordingly -  Daily GRR reports are completed on time, and weekly flash report is sent punctually; 6.       Other Audits
  • 上海 | 5年以上 | 本科 | 提供食宿

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    • 五险一金
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 员工生日礼物
    • 语言培训
    • 年终奖
    • 包吃包住
    • 人性化管理
    • 领导好
    国际高端酒店/5星级 | 100-499人
    发布于 11:37
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    财务运营经理的基本职责是检查来自每个部门的所有费用被正确地按照程序记入客人账户或入账,且所有酒店每日应收的收入及账款被收到。
  • 上海 | 3年以上 | 大专

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    • 五险一金
    • 节日礼物
    • 技能培训
    • 带薪年假
    • 管理规范
    • 年底双薪
    国际高端酒店/5星级 | 100-499人
    发布于 10:39
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    To assist the Assistant Controller in the effective management of the hotel’s overall operations accounting functions, preparation of revenue reports, analyzes, forecasts and budgets, paying particular attention to ensure all revenues and rebates are accurately accounted for in accordance with Marriott standard operating procedures, local standard operating procedures and uniform standards of accounting for hotels & lodging; maintenance of management information and controls that are consistent with the statutory requirements and property needs.
  • 上海 | 经验不限 | 学历不限

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    • 五险一金
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 管理规范
    • 包吃包住
    • 人性化管理
    • 领导好
    • 额外商业保险
    • 免费上下班车
    国际高端酒店/5星级 | 100-499人
    发布于 09:53
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    【职位描述】 What will I be doing? As the Finance Operations Manager, you will be responsible for performing the following tasks to the highest standards: • Audit the daily revenue figures, supporting reports and vouchers. • Ensure that all revenue is captured and reported, the daily and monthly revenue and settlement reconciliation are prepared on a timely basis. • Ensure all gifts or entertainment voucher are controlled as per the policy. • Review all entertainment dockets and officers’ checks, ensuring that all are authorized and signed with appropriate level of details. • Check that complimentary rooms have been appropriately authorized. • Audit the internet and telephone interface reports to ensure all telephone and internet revenue have been posted. • Ensure that the relevant Front Office and Outlet reports are printed, audited and filed in date order. • Verify transactions posted in the daily report, including but not limited to credit cards, city ledger, crew allowances, pay outs, allowances & rebates, miscellaneous charges, voiding, car park revenues, and room safe keys. • Prepare rebate and allowance summary and rebate journal. • Reconcile credit card charges between electronic credit card machine and Point of Sale system on a daily basis. • Prepare daily revenue report for the Director of Finance / Financial Controller. • Ensure that all concessionaires’ revenue is reconciled, and recorded accurately. • Audit the daily General Cashier’s Report. • Check the Room Rate Discrepancy Report to ensure that all rate changes, upgrades, etc. have been properly authorized. • Ensure that the Room Status Discrepancy Report is printed twice daily, and any exceptions noted are reported. • Record cashier overs / under in the relevant reports and followed up with the Outlet Managers or Front Office Manager. • Follow up on any discrepancies, incomplete work or missing information with the relevant departments. • Ensure all paid out vouchers have proper authorization, signatures and backup. • Follow up with the Revenue / Reservation team to ensure that any no-show is reviewed, and charges made accordingly. • Audit the daily Food & Beverage Report, verifying the cashier’s remittances to the General Cashier’s Report. • Ensure that all banquets and functions revenue are entered, and all restaurant and bar checks are properly accounted for. • To be fully conversant with the Hotel Manual Contingency Plan in case of computer system failure and ensure that all manual procedures are followed and adhered to. • Ensure the accurate and timely input of data to the general ledger system. • Maintain adequate and up to date files. • Conduct monthly house float count as well as safety deposit boxes audit. • Make sure all of the VAT invoice are stored in a safe place and control the issuance, recycling, authenticating, purchasing of VAT invoice and so on. • Check the accuracy of VAT invoice issued by the operation department. • Complete the related work of special invoice within prescribed time according to the invoice policy. • Handle all requests and inquiries on tax in a timely and efficient manner. • Assist to complete the work of invoice in accordance to the hotel operations requirement. • Support the daily work of Credit & AR and help them to resolve problems they may encounter. • Ensure all operations of Income Audit, Credit and AR comply with the Hilton Policy and Audit requirements. • Maintain good relations with other hotel departments and team members. • Handle all requests and enquiries in a timely, efficient and friendly manner. • Minimize the risks of accidents and workers compensation costs by ensuring that the correct work practices are used and that the area is safe from hazards. • Perform any additional tasks assigned to ensure that the department functions smoothly. 希尔顿在全球 100 多个国家和地区拥有数以千计的酒店,提供无数令人愉悦的机会。 从敞开的大门到热情的微笑,再到与众不同的体验,我们为每年与我们在一起的数百万旅行者提供他们永远不会忘记的欢迎。 除了我们旗舰品牌希尔顿酒店及度假村还包括:华尔道夫酒店及度假村、LXR、康莱德酒店及度假村、希尔顿嘉悦里酒店、Signia、格芮希尔顿精选酒店、希尔顿逸林酒店及度假村、Tapestry Collection by Hilton、希尔顿尊盛酒店、Tempo、 Motto、希尔顿花园酒店、希尔顿欢朋酒店、Tru by Hilton、希尔顿欣庭酒店、希尔顿惠庭酒店和希尔顿分时度假俱乐部。 如果您热衷全球旅行对世界的影响,您可能就是我们正在寻找的希尔顿团队成员。 因为在希尔顿酒店,我们永远不会忘记我们在这里的原因:使我们的客人,团队成员和业主都满意。 财务运营经理的基本职责是检查来自每个部门的所有费用被正确地按照程序记入客人账户或入账,且所有酒店每日应收的收入及账款被收到。 我的具体职责是什么? 作为员工宿舍主管,您将应以最高标准完成以下任务: • 审计每日收入数据,支持报告和凭。 • 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。 • 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。 • 审计电话自动挂账报告以确保所有电话收入已被挂账。 • 审计宽带链接报告以确保所有因特网收入被挂账。 • 审计宽带链接报告以确保所有因特网收入被挂账。 • 核对挂入每日报告中的交易,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,停车场收入及房间安全钥匙。 • 准备折扣和减免汇总表及减免凭证。 • 在电子信用卡机和销售点系统之间每日调节信用卡收入。 • 给财务总监准备每日收入报告。 • 确保所有特许/租赁收入被调节,并被正确记录。 • 审计每日总出纳员的报告。 • 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。 • 检查并确保每天两次打印房间差异报告,任何不合理差异需及时报告。 • 在相关报告中记录收银员现金多余/不足,并同餐饮经理或前台经理跟进相关事宜。 • 与相关部门跟进一切差异,未完成的工作或丢失的信息。 • 确保所有支出凭证拥有合理批准,签名和支持。 • 与营收/预订团队跟进,以确保任何放弃预订的项目被查阅并收费。 • 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。 • 在电脑系统出现故障全面熟悉酒店手工操作紧急计划,以确保所有手工处理程序遵照执行。 • 确保将数据准确和及时地输入总分类帐系统。 • 维护足够的最新的文档 • 进行每月备用金的盘点。 • 进行前台保险箱的审计。 • 确保所有增值税发票存放在安全的地方,并对所有发票的发放、回收、缴销、领购等进行登记及管理。 • 审核营运部门开具的增值税发票的准确性。 • 根据发票管理制度,在规定时间内完成增值税专用发票的相关工作。 • 及时并有效地处理与税务相关的要求和询问。 • 在酒店营运需要时,协助完成开具发票的工作。 • 支持管理信贷及应收账款的日常工作及解决工作中遇到的问题。 • 确保收入审计、信贷及应收账款的工作符合希尔顿的制度及审计要求。 • 灵活的工作时间。 • 与酒店其他部门和团队成员保持良好关系。 • 及时,有效,友好地处理所有要求和询问。 • 确保正确的工作实践及该工作区域的安全不受危害,使得意外的风险和员工赔偿费用最小化。 • 执行一切额外的工作,以确保酒店职能顺利运作。 【任职要求】 What are we looking for? A Finance Operations Manager serving Hilton Brands is always working on behalf of our Guests and working with other Team Members. To successfully fill this role, you should maintain the attitude, behaviours, skills, and values that follow: • University preferred commerce degree in Accounting & Management. • Minimum of 2 years of experience in the same position in a 5-star international branded hotel or comparable industry related experience. • Solid working experience in hotel accounting with a minimum of 3 years in a supervisory role. • Previous experience in a managerial operational accounting role. • Thorough knowledge of federal, state and local accounting laws and tax laws. • Mature and reliable person. • Proficient in Microsoft Office applications. • Fluent in written and spoken English to meet business needs. • Good communication and interpersonal skills. • Strong sense of responsibility and self-motivation. • Flexible in relation to working hours. What will it be like to work for Hilton? Hilton is the leading global hospitality company, spanning the lodging sector from luxurious full-service hotels and resorts to extended-stay suites and mid-priced hotels. For nearly a century, Hilton has offered business and leisure travellers the finest in accommodations, service, amenities and value. Hilton is dedicated to continuing its tradition of providing exceptional guest experiences across its global brands. Our vision to fill the earth with the light and warmth of hospitality unites us as a team to create remarkable hospitality experiences around the world every day. And, our amazing Team Members are at the heart of it all! 我们寻找什么样的人才? 希尔顿财务运营经理始终要以宾客的利益为重并与其他团队成员密切合作。若要成功地应聘这一职位,您的态度、行为、技能和价值观应符合下列标准: • 大学会计和管理方面的学位。 • 两年以上国际五星级酒店同等岗位工作经验或相关领域同等经验。 • 在酒店财务至少三年主管经验。 • 有财务管理经验。 • 熟悉国家及本地会计法和税法。 • 成熟可信。 • 基本掌握计算机技能。 • 英文书写及口语流利。 • 较强的沟通技巧。 • 有耐心,高度责任感并且积极的应对各种问题。 • 工作时间灵活。 服务于希尔顿将会如何? 希尔顿全球是国际最具知名度的酒店管理公司之一,其下品牌包括从豪华的全面服务酒店,度假村到公寓式酒店以及中端酒店等。近一个世纪,希尔顿全球致力于通过全球品牌. 延续为全球客户提供优质服务的传统,坚持为商务和休闲旅游人士提供最优质的客房、服务、产品和品牌价值。我们的愿景 “让世界充满阳光,让大家都感受到热情的温暖,提供与众不同的卓越体验,让每位宾客在每家酒店的每次住宿都倍感满意” 团结我们作为一个团队每天都在世界各地创造非凡的酒店体验。同时,我们惊人的团队成员是希尔顿的核心所在!
  • 运营经理

    8千-9.5千
    上海-闵行区 | 经验不限 | 学历不限 | 提供食宿

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    • 五险一金
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 管理规范
    • 包吃包住
    国际高端酒店/5星级 | 500-999人
    发布于 04-17
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    1.  具有良好和专业的服务态度处理咨询 2. 充分了解财务总监的工作需求并在需要的时候要代理其职责 3.  与各方保持密切的联系,以实现高效率和节省成本的内部控制制度,而又不损失收入。 4.  在工作领域内有效的服务于员工和客人所需,报告并建议财务总监需改善处。 5. 确保一天工作的完成并核实财务总监和总经理的审查和签字。 6.  协助财务总监编写酒店经营财务报告,并提出改善建议。 7. 协助财务总监编制营运、现金的预测和预算,提供的历史数据和支持给其他部门的经理。 8. 协助提供业主、酒店和地方政府部门要求的回单分析报告。 9.  熟悉万豪总部和酒店建立的财务标准、政策和营运程序。 10.了解所属部门下的员工的工作职责。 11.建立工作指导方针和期限给员工以确保及时和精确的财务报表。 12. 建立一个有效的,最新的归档制度来维护所有相关财务报表,包括限制访问,保密和其他预防性措施 13. 审计和审查酒店所有的运作程序,如发现任何漏洞,则实施相应的纠正措施。 14. 要进行不定期现金检查(至少每月一次),包括所有现金浮动,小额现金和其他主要的资金定额备用金。 15. 处理财务总监指示的所有财务相关事宜。 16. 协助财务总监就内部监控系统和“控制器的审核检查表”的要求进行定期评价, 17. 以正确的标准和程序培训员工,以协助他们在处理工作上的困难  18. 为了确保既定的内部控制措施得以定期进行,并强调差异。 19. 联合财务总监和系统经理建立一个保存制度和计算机软件的存储,并确保给财务部员工进行相关的培训。
  • 上海-浦东新区 | 3年以上 | 大专 | 提供食宿

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    • 五险一金
    • 带薪年假
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    • 包吃包住
    • 人性化管理
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    • 员工生日礼物
    国际高端酒店/5星级 | 100-499人
    发布于 11:37
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    岗位职责 1、全面负责管理酒店的运作业务。 2、对资金结算,业务的资金划拨,进行审核监督。 3、协调与代销机构、托管银行、资金结算银行等外部机构以及酒店其他部门的业务往来。 4、负责酒店的资本运作。 5、完全了解应收帐款业务,处理公司、集团等的信用申请。 岗位要求 1、大专学历。 2、3年以上相关工作经验。 3、熟练使用电脑等相关办公软件。 4、有一定的文字组织与表达能力。 5、敬业、责任心强
  • 上海-崇明区 | 经验不限 | 学历不限 | 提供食宿

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    • 五险一金
    • 带薪年假
    • 包吃包住
    • 节日礼物
    • 年度旅游
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    • 管理规范
    • 领导好
    • 人性化管理
    国际高端酒店/5星级 | 100-499人
    发布于 04-10
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    岗位职责: 1、确保所有饭店内发生的收入均被按时地准确地记录,恰当地评价,正确地分类。 2、制作每日收入报表并使所有收入与现金存款和每天应收帐款的运转情况相一致。 3、通过每日收入对帐表平衡处理过程,核对并使收入一致。 4、确保所有的折扣和各项杂费都有详细记录费用的票据文件。 5、确保遵守和加强酒店信用管理程序。审核所有从餐厅、前台等终端转到后台的应收帐是否正确且附有相应的支持文件。 6、确保充分控制包含有优惠券、证书和优惠购物券的活动,适当的安全措 施。 7、依照公司政策和程序保持适当的信贷和内部控制程序。 崗位要求: 1、熟练掌握酒店财务信贷,审计等岗位的工作流程和内容。 2、有会计知识,了解前厅和后场系统,会使用电子收款机,会餐厅和酒吧结算。 3、熟悉酒店opera系统。
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