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· Review and correct daily revenue journal每天审查并更正收入帐目。
· Controls all balance sheet accounts by preparation of monthly account reconciliations and actions accordingly通过编制月度对帐单并进行相应的帐目调整,控制资产负债表的所有科目
· Specifically reviews the accounts payable balance to ensure accuracy and proposes action and follow up to be taken to ensure a clear balance with limited over 90/120 day amounts特别审查应付帐款余额以确保其准确性,采取措施保证在90或120天内结清相应款项
· Control accommodation advance deposits酒店住宿预付款项的控制工作
· Monitor house banks and investments监控酒店的现金及投资
· Analyze and investigate cashiers’ over’s and shorts分析研究出纳的帐目出入
· Code and input manual cheques按明细帐目编号将支票录入系统
· Investigate and input bank statement data分析并录入银行对帐单信息
· Prepare bank reconciliations such as agency imp rest and replacement reserve编制诸如周转金及换置备用金等银行往来调节表
· Review accounts payable monthly inventory reconciliations审查月度存货应付帐款对账单
· Review accounts payable purchase journal审查采购应付帐目
· Review travel agency commission payments审查旅行社提成支付款项
· Maintain replacement reserve cash book保管换置备用金的现金帐目
· Review and prepare input in the general ledge from various sourc审查不同来源的帐目,然后准备将其录入总帐
· Review food and beverage control reconciliations and journal审查餐饮类帐目及对帐表
· Review accounts payable/ inventory interface审查存货类应付帐款
· Prepare month end journals编制月末各类帐目
· Prepare balance sheet record and identify and reconcile all items therein编制资产负债表,并进行必要的对帐工作
· Audit payroll对工资进行审计
· Prepares monthly invoices for other IHG hotels, General Manager, Store and Shop rentals为洲际酒店集团的其它酒店,总经理,商店商铺租金编制月度账单
· Prepares all journal vouchers for month-end closing整理准备月末结帐的各类会计凭证
· Prepares monthly Financial Statements for distribution to Department Heads and Executives, as directed by Finance Manager在财务经理的领导下,编制月度财务报告,并向酒店高层及相关部门主管分发
· Responsible for month-end back-office computer closing负责月末进行办公室计算机系统结帐工作
· Approves various city ledger transactions before posting在登帐前验证各种挂帐交易
· Prepares asset purchase/disposal report for owners向业主提交资产购置或处置报告
· Approves payment requests, employee advances and petty cash prior to payment批准付款要求,提前支付员工及付款前的小额现金款项
· Assists Manager of Finance and Assistant in budget preparation and input, forecast reports and monthly reporting to corporate finance协助财务经理和财务经理助理编制财务预算及经营预测报告,每月向酒店集团财务部进行相关汇报
· Supervises Accounts department in the absence of the Assistant Finance Manager在助理财务经理缺勤的情况下负责监督财务部日常工作
· Reports directly to and communicates with the Assistant Manager of Finance and Finance Manager on all matters pertaining to accounting and financial controls直接向助理财务经理和财务经理汇报交流有关财务控制方面的事宜
· Cooperates, coordinates and communicates with other departments in matters concerning accounting related matters and internal control与酒店其他部门就财会及内部控制事宜进行充分地合作、协调与沟通
· Interacts, as required, with individuals outside the hotel including hotel’s bank, tax auditors and other hotels and IHG corporate offices按照要求与包括酒店往来银行、税务监察人员、洲际酒店集团办公室和其他酒店的相关人士进行沟通接洽
· Perform other duties as assigned by superior. 履行上级分派的其他职责。
Intermediate Accountant qualification certificate is necessary.要求有中级 会计师资格证书
廊坊香河三田假日酒店是由全球客房数量最多的洲际酒店集团运营管理的国际四星级酒店,由三田雍泓集团投资兴建,酒店建筑面积4.5万平方米,拥有260间客房,完备的现代化设施,国际品质的餐饮选择及一流的宴会、会议场地,是客人惬意居停和商务社交的完美之选。在廊坊香河三田假日酒店,我们的致胜之道至关重要;我们相信今天的全情投入造就通向美好未来的坦途。如果你是这样一位尽责的员工,你会在这里得到充分的肯定和回报。除了具有竞争力的薪酬福利,廊坊香河三田假日酒店拥有更人性开放的晋升体系,确保每一位员工都有明晰的职业规划。酒店定期进行薪资评审,同时着力挖掘个人潜能,提供各种技能培训,工作之余,还有丰富有趣的员工活动,在这个大家庭里,我们时刻鼓励员工提出意见、分享收获、“尽炫自我”。专业+专注+热情,我们就是这样将世界各地最具才华的员工聚集到一起,共同致力于打造出“客人挚爱的杰出酒店”。如果你正是这样的人才,需要这样的机会,请加入我们,共同成长。