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  • 上海-静安区 | 3年以上 | 本科
    • 五险一金
    • 带薪年假
    • 技能培训
    • 管理规范
    • 午餐补贴
    • 岗位晋升
    西式餐饮 | 100-499人
    • 投递简历
    硬性要求: 日语达到N2级或以上商务水平,能够熟练使用日语进行财务沟通、处理日文文件及与外部机构交流。 专业经验:具备3-5年餐饮行业全盘财务或会计工作经验。 该岗位需定期至日本出差,介意勿投 主要职责 1. 日常财务核算与账务处理 负责餐厅日常的凭证录入、账务处理,确保所有交易准确、及时地记录。 审核各类费用单据的合规性与完整性,对门店日常费用进行预提、整理与核算。 管理应收账款与应付账款流程,包括请求书、领收书等票据的处理。 2. 财务报告与分析 定期编制并提交财务报表(如月度利润表、资产负债表),同时根据母公司要求,提供内部管理报表。 进行基础的财务分析,如成本构成、毛利率波动等,为餐厅及母公司的运营决策提供数据支持。 3. 资产管理与内控 定期参与或组织餐厅的库存盘点(如食材、酒水)及固定资产盘点,确保账实相符,并反馈盘点情况。 协助建立并维护餐厅内部的财务控制流程,以降低运营风险。 4. 税务、银行及外部沟通 作为主要联系人,与代理记账税理士(税理士)对接,协助完成税务申报资料准备及各项税务事宜。 处理与银行、税务署等外部机构的常规业务往来。 5. 系统与行政支持 熟练操作财务软件及办公软件,维护财务数据系统。 完成其他与财务相关的行政事务及主管交办事项。 任职要求 必备条件 语言能力:日语达到N2级或以上商务水平,能够熟练使用日语进行财务沟通、处理日文文件及与外部机构交流。 专业经验:具备3-5年相关财务或会计工作经验。欢迎有扎实基础的年轻求职者。 专业技能:熟练操作 Microsoft Office办公软件,尤其需要精通Excel进行数据处理与分析。 个人素质:处事认真仔细、责任心强,有良好的沟通能力和团队协作精神,能够承受一定的工作压力。 优先考虑条件 拥有日本商簿记2级或以上资格证书者。 有餐饮行业或零售行业财务工作经验者。 曾在日本当地学习或工作,熟悉日本会计实务(JGAAP)及商业环境者。
  • 财务经理

    1万-1.5万
    上海 | 5年以上 | 本科
    • 五险一金
    • 双休
    • 带薪年假
    • 员工生日礼物
    • 管理规范
    • 岗位晋升
    • 工作氛围好
    • 海外培训
    • 投递简历
    一、整体统筹管理 1. 全面负责餐饮门店/连锁餐饮财务部日常管理,搭建财务制度、核算流程、内控体系,统筹出纳、会计、收银、库管团队。 2. 制定年度、季度、月度财务预算、资金计划、成本管控目标,向总经理、总部提交经营财务分析报告。 3. 把控公司资金安全、税务合规、资产安全,规避资金风险、税务风险、门店跑冒滴漏风险。 二、成本管控(餐饮核心工作) 1. 原材料成本管控:审核食材采购报价、供应商对账,管控毛利率,监控进货价、损耗率、临期食材浪费、后厨偷拿浪费。 2. 定期盘点:每日生鲜盘点、月度全盘(原材料、酒水、餐具、固定资产、低值易耗品),复盘盘盈盘亏,制定整改方案。 3. 管控运营费用:人工工资、房租、水电、营销推广费、维修杂费,严控非必要支出,优化费用结构。 4. 核算单店毛利、净利,分析菜品毛利,建议淘汰低毛利、高损耗菜品。 三、账务与核算工作 1. 负责全盘账务处理:收入核算(堂食、外卖、团购、会员、储值)、应收应付、工资核算、费用报销审核。 2. 审核所有报销单据、采购单据、付款申请,确保票据合规、流程完整,杜绝虚假报销。 3. 按时完成月度、季度、年度结账,出具三大财务报表:利润表、资产负债表、现金流量表。 4. 对接代账公司/主办会计,规范内账、外账,保证账务清晰可查。 四、收银与门店资金管理 1. 监管门店收银体系:收款系统、POS机、微信支付宝收款、团购对账,每日核对营业款、交接班收银台账。 2. 管控门店现金流:每日营业回款归集、备用金管理、资金收支计划,保证门店周转资金充足。 3. 排查收银漏洞:长短款、私自免单、折扣滥用、员工套现、储值违规操作,制定收银奖惩制度。 五、税务与证照管理 1. 统筹增值税、企业所得税、个税、发票管理,发票开具、进项发票收集认证,确保依法纳税。 2. 维护税务关系,按时报税、汇算清缴,规避税务稽查风险;规划合理税务筹划。 3. 管理餐饮门店营业执照、食品经营许可证、对公账户、开票资质等财务相关证照年审。 六、供应商与往来管理 1. 定期和食材、酒水、耗材供应商对账,审核结算账单,把控付款周期,优化账期。 2. 建立供应商信用台账,对比多家供应商报价,通过议价降低采购成本。 3. 清理往来款项:应收账款、应付账款、员工借款、门店往来欠款。 七、团队管理与制度建设 1. 制定财务部岗位职责、收银管理制度、采购内控制度、盘点制度、报销制度、资金管理制度。 2. 培训收银、出纳、库管人员,规范操作流程,绩效考核、团队分工、人员轮岗。 3. 落地财务数字化:收银系统、库存系统、财务软件对接,提升核算效率。 八、经营分析与经营支持 1. 定期出具经营分析:营收分析、客流客单价分析、成本分析、月度盈亏分析。 2. 为管理层决策提供数据支撑:新店筹备预算、门店盈亏平衡点测算、促销活动成本测算、拓店资金评估。 3. 针对亏损门店、低效门店提出财务整改方案。 九、固定资产与资产管理 负责门店厨具设备、空调、桌椅、收银设备等固定资产登记、折旧核算、报废审批,定期核查资产流失。
  • 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
  • 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
  • 上海 | 8年以上 | 大专
    卓越雇主
    卓越雇主
    国际高端酒店/5星级 | 2000人以上
    • 投递简历
    【岗位职责】 1、全面负责酒店财务部门的日常运营和管理工作,确保财务流程的合规性和高效性 2、监督并审核月度、季度及年度财务报表,确保其准确性和及时性 3、制定和完善财务管理制度,优化财务工作流程,提升财务管理效率 4、负责酒店预算编制、成本控制及财务分析,为管理层提供决策支持 5、协调与银行、税务、审计等外部机构的沟通与合作,确保合规经营 6、监督酒店资产管理,确保资产安全及合理使用 7、指导并培训财务团队,提升团队专业能力和工作效率 【岗位要求】 1、大专及以上学历,财务、会计或相关专业 2、8年以上财务工作经验,其中至少3年以上酒店行业财务管理经验 3、熟悉酒店财务运作流程,精通财务软件及办公软件 4、具备出色的财务分析、预算管理及成本控制能力 5、良好的沟通协调能力,能够与各部门高效合作 6、具备团队管理经验,能够带领团队完成财务目标 7、具备较强的抗压能力,能够适应高强度的工作环境
  • 上海 | 经验不限 | 学历不限
    • 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
    • 领导好
    • 年度旅游
    卓越雇主
    卓越雇主
    国际高端酒店/5星级 | 2000人以上
    • 投递简历
    工作职责: 职位简介 作为财务及业务支持总监,您将监管酒店的财务运营并确保酒店资产的安全、定期汇报酒店的财务状况,围绕提升酒店的盈利能力提出您的建议。作为酒店所有财务及相关会计事务的主要联系人,与业主、内外部审计人员及监管机构进行接洽。 您的日常工作 员工团队 管理日常工作,确保合理规划和分配任务 通过指导和反馈,发展团队成员,提升其绩效,并设定绩效和发展目标,积极认可优秀表现 为团队提供培训,确保团队成员按照规定履职,达到我们的标准,并提供必要的工作工具 指导团队如何做出能够影响利润的决策 营造良好的工作环境,促进团队的健康发展,通过加强各部门之间的联系,塑造团队合作意识 宾客体验 帮助客人——如果客人提出需求或不满,需要协助,您应该热情地提供帮助 确保酒店具备有效的会计实践,并通过灵活的支付方式(如信用卡系统、客房收费)、库存控制以及解决账务纠纷为宾客提供良好的入住体验 财务回报 通过财务分析、数据趋势及市场信息来预测需求,发现运营与财务中的问题,采取有效举措以扩大财务回报 制定酒店年度运营预算,在预算审核过程中提供各种数据分析支持,帮助各部门主管发现节约成本、增加产能的机会 确保每月对所有会计账目进行对账和调节,并监督信贷扩展流程,催收过期账款 审查酒店定价,向总经理推荐相应的策略;参加销售策略会议 管理应付账款,平衡现金流并维护酒店在供应商中的信誉 针对投资项目,在投入资金之前先分析投资回报,并在项目结束时评估是否达到预期收益目标 通过控制库存(避免过多存货)、信贷和收款、垫付款、定金和汇款等使现金流最大化 企业责任 根据公司政策和操作流程实施并维护可行的会计实践 确保财务管理程序和系统符合道德和法律规范 参与在本地广受认可的专业与行业组织 管理酒店合同(如:供应商租赁和/或服务协议) 任职资格: 会计或财务专业学士学位 / 高等教育资格/或同等学历 4~8年酒店会计或审计经验,至少一年助理财务总监或类似管理职位经验,或教育背景加相关工作经验达到同等水平 具备相关会计管理知识,如酒店店面租赁协商与租赁协议拟定;处理工资支付;执行资产管理职责;提供业务预测、进行置换分析、准备政府报告、进行纳税申报等 具有专业会计、财务职称或证书的候选人将被优先考虑 能说流利的中文,能使用英文作为工作语言
  • 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 | 10年以上 | 大专 | 食宿面议
    • 五险一金
    • 带薪年假
    • 岗位晋升
    • 技能培训
    • 管理规范
    • 人性化管理
    国际高端酒店/5星级 | 1-49 人
    • 投递简历
    Pre-opening project in Yangtze River Delta 长三角地区筹备酒店项目预备人才 Langham Hospitality Group (LHG) is a global hotel company with properties located in major cities and four continents under The Langham Hotels and Resorts and Cordis Hotels and Resorts brands. It is the hospitality arm of Great Eagle Holdings, a leading property development company in Hong Kong. Key Responsibilities: As the Director of Finance, you will be responsible for performing the following tasks to the highest standards: - Overall management of the accounting records and financial reports of the hotel ensuring compliance with company, owner, statutory and fiscal requirements and timetables; - 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; - 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; - Take responsibility for the safekeeping and updating of all leases and contracts, which may affect the financial status of the hotel; - Support and advice on financial and commercial matters to the General Manager and to the hotel team, including the interpretation of financial data; - Providing financial support, advice and expertise to the General Manager and Hotel Team, with the aim of maximizing value; - Co-ordinate the fulfillment of LHG, Owner and regulatory reporting responsibilities of the hotel on an accurate and timely basis. Qualifications: Luxury Hospitality segment experience will be preferred; 3+ years as Director of Finance at international hotels; Strong interpersonal skills & leadership; Fluent written & spoken English. Pre-opening experience is preferred. Possess qualifications and certifications for financial work.
  • 上海 | 5年以上 | 大专 | 食宿面议
    • 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
    • 投递简历
    财务会计和控制:在健康的控制环境中实践最佳的财务会计流程 · 全面管理酒店会计记录和财务报告以确认符合公司,业主,法规和财政要求及时间要求; · 如适用上述必须包括希尔顿集团的分公司或子公司的账务; · 确认资产负债表真实反映酒店的资产和负债,资产负债表必须定期审查及进行所有账户的调节; · 确认遵循希尔顿集团的管理协议,以及所有业主/租赁协议; · 维护一个内部控制的重点系统,这将提供一个有效的及时的对酒店资产,负债,收入和成本的全面控制,确保遵循公司政策; · 代表经营者和业主,保持对酒店资产,负债,收入和支出的控制,并对酒店的财务业绩提供管理,领导和负责; · 确保遵循法律和税收政策并保持足够的保险保障。管理养老金计划,在适用情况下确保有足够的会计,精算和法律控制; · 确保为例如进口,货币转移和酒店营运(酒吧,俱乐部,娱乐场所等)业务获得有效的许可证和执照。负责保管和更新所有会影响酒店的财务状况的契约和合同; · 与内部和外部审计联络合作,确保有效的酒店审计程序已到位,并在必要时及时纠正。特别强调确保所有的营业收入被记录,使用月度控制检查单,必要时进行阶段性自我审计; · 开发财务会计和控制程序的最佳实践,财务报告和控制需持续审查和发展的领域,以达到影响和效率最大化。 管理报告:专注,创新和平衡报告以激励管理行动 · 制定高质量的,及时准确的管理信息和绩效衡量,报告应发人深省及面向行动; · 实施报告应包含关键性能指标的基准,定义和衡量指标,并采用平衡记分卡。报告应不仅反映酒店的历史业绩,并应反映外部及今后的内容; · 确保公司报告及时和正确,确保所有公司报告与内部一致的,尤其Datalink报告,Pro-plant系统,管理报告,营运趋势报告,逐步转换报告,损益表,资产负债表和现金流报告与试算平衡表调节。维持每月进行这些调节的依据。 营业支持:为经营提供最高标准的财务和商业支持 · 为酒店总经理和团队提供关于财务和商业事项的支持和建议,包括解释财务数据; · 审查酒店的管理信息,并为总经理提供有价值的建议,在适当情况下,挑战实践和建议; · 使用财务和商业方面的技能以支持业务发展计划,主要为定价决策和其他商业决策。 信息技术和系统:对财务部门信息技术的优化以提高效率和信息 · 与项目经理一起支持酒店财务系统的执行; · 与ISM确保合理的应用和维护财务系统,包括足够的安全和后备程序; · 作为财务信息系统数据输入的保护人,确保直接或间接地与财务系统联网的控制程序。与同事合作,确保所有的错误在源头得到纠正,并做相应修改以消除错误,而非纠正错误; · 持续地发展财务系统的使用,以确保达到最高质量的管理报告。有效处理及安排员工,从而得到投资回报。 投资:优化资本投资回报 · 利用项目评估方法以协助直接投资的项目以优化个别项目和整个企业的回报; · 制定年度资本计划并直接实行此计划,确保资金和必要的购买(比如,业主)已到位,使其可以达到最高标准; · 制定和审查AFE,确保财务准确性,商业和判断通过这一程序,并在酒店承诺支出之前得到授权; · 对主要资本投资进行跟踪投资审计,与管理团队交流跟踪投资审查的结果,并确保对这些结果作出学习和借鉴并使收益最大化; · 确保遵循HI资本政策,对项目支出维持恰当的控制及记录; · 在适当情况下,准备审查并参与为新的发展和并购产生的财务处理。 展望未来:对重大的战略计划和预算进行精确预测 · 支持总经理对酒店的战略计划,尤其强调主要计划及“外向思维”以确定商业机会; · 管理酒店预算的编制,审查和批准程序; · 确保酒店预测根据酒店的需要定期更新; · 通过定期的预测,展望报告或专门报告反映酒店的正面或负面趋势,向高级管理层和区域办公室提供警告。与同事和总经理合作,确保对企业未来趋势的交流信息是一致并准确的,避免意外。 人力投资:在一个持续发展的环境中,确保每个职位的最佳人选 · 招聘和保留最佳人选,特别是助理财务总监级别的使用继任者计划以有效发展及更换个人,建立及维护财务部的员工关系; · 致力于会计部门效率最大化,我们应当优化人员配备水平,在很多情况下这已经不是现在的情况, 认识到一个高度组织化的账务部往往是一个有效部门的标志; · 通过不断的培训和团队发展,提高酒店财务部门的有效性,领导和激励团队达到高水平的业绩; · 确保您管理详细的可衡量的目标,给予定期的反馈,包括评估; · 财务总监和助理财务总监应当有一个个人发展计划; · 提供培训以增强整个管理团队的财务技能,使用工具如希尔顿大学,乐学平台等。 现金和营运资本:在严格控制环境下优化现金状况 · 减少流动资金,特别强调对债务人,股票和各种应收账款的管理。最大化利息收益,并最小化利息支出; · 维持提前至少一年的准确的现金流量预测,并确保希尔顿和业主收到足够的关于任何未来现金使用的通知; · 确保银行账户一周调节一次,在任何时候都必须对所有现金和银行账户余额保持最高的控制标准; · 财务总监的角色是与总经理和商务总监一起,根据集团政策设立的指南和最佳实践原则,建立完善的信贷控制和信用管理政策- 一旦建立, 商务总监应遵循此政策和控制; · 财务总监有责任确保对应收账款的控制被正确应用,并对问题采取纠正行动如果他们没有做到; · 财务总监必须同商务总监一起审查所有应收账款,并确保没有可回收问题; · 财务总监有责任为坏账或呆账保持适当的计提。 成本管理:支持营运以优化成本的效率 · 理解并衡量酒店的成本,利用创新分析,激励思维和管理行动; · 确保合理的采购程序运做,使得购买商品和服务是在最具成本效益的方式下进行; · 与其他酒店的基准费用对比,找出减少成本的机会,管理经营上的财务风险; · 经营一个有效的且有成本效益的财务部门,在酒店中树立榜样。 其他注意事项 · 财务总监直接对酒店的总经理负责并在维护专业标准上对区域财务总监负责,如双重责任产生罕见的冲突时,必须根据区域营运副总裁和区域财务总监的指导; · 财务总监的任命,解雇或调动由区域财务总监/区域财务副总裁与酒店总经理协商决定。没有区域财务总监/区域财务副总裁的书面批准,不得改变任何财务总监(或助理财务总监)的薪酬; · 财务总监拥有进入所有财务数据和经营事实的无限权利,财务总监可以访问任何部门提出问题并在其职责范围内履行财务检查; · 总经理必须咨询区域财务总监/区域财务副总裁关于完成对财务总监的任何评估或个人发展审查的事宜,任何对财务总监的奖金计划必须提前得到区域财务总监/区域财务副总裁的同意。
  • 上海 | 经验不限 | 学历不限
    国际高端酒店/5星级 | 50-99人
    • 投递简历
    工作地全国 Duties and Responsibilities Familiar with all terms and conditions of the management agreement and ensure that they are adhere to. Maintain complete accounting books and records of the hotel as per the Company’s policies and procedures and the local rules and regulations. Implement local finance and accounting procedures to ensure compliance with local government regulations, after approval from the corporate office. Prepare and interpret the financial statements and reports of the hotel timely. Audit the accounts, records and transactions of the hotel, and exercise ongoing efforts to streamline internal control procedures. Implement all necessary controls in order to safeguard the assets of the hotel and maintain records for the furniture, fixtures and equipments, operating equipment, supplies and inventories. Ensure that physical inventories of all supplies are being taken on a monthly basis and of all operating equipment on a quarterly basis. Assist in compiling, together with the General Manager and Heads of Department, all budgets and forecasts covering all activities of the hotel and maintain proper budget any control procedures. Assist the administration of credit and collection procedures, which are in fact the responsibility of the General Manager. Implement all necessary controls to minimize cost and loss and maximize returns and profit. Give proper advice on the financial impact of all business decisions. Understand Howard Johnson International and / or hotel tax obligations, seeking the assistance of locally-appointed auditors or tax experts. Ensure all the requisite licenses are in place for foreign exchange dealings, imports, liquor, swimming pools, entertainment and so forth from the appropriate regulatory agencies. Review and ensure proper procedures and controls of purchasing, receiving, storing, and requisitioning functions. Administer and control cash management which may include investing in time deposits in banks approved by Howard Johnson International and/or the owner as stipulated in the hotel management agreement, as well as obtaining overdraft facilities whenever necessary. Liaise with both internal and external auditors in compliance with the Company’s requirements. Administer the EDP department and ensure that the hotel computer system and software are fully utilized, well safeguarded and properly maintained. Keep and safeguard all contracts, leases, insurance policies, licenses, and all legal and financial documents. Administer Howard Johnson International and hotel insurance matters in conjunction with the locally appointed insurance agent. Assist the General Manager in the compilation of all the departments’ written policies and procedures into the hotel’s own in-house policy manual. Job Qualification:(无四星级以上酒店管理工作经历的均不予考虑) University degree or equivalent (Financial) More than 10 years hotel financial related experience Good English and computer skill
  • 上海 | 3年以上 | 本科
    有投必应
    有投必应
    服务式公寓 | 100-499人
    • 投递简历
    一、岗位职责 1、全盘会计核算管理:全面负责酒店项目日常全盘会计核算工作,规范账务处理标准与流程,精准完成酒店营收、运营成本、费用支出、往来账款、资产核算等全品类账务处理,确保账务数据真实、准确、完整,保障财务核算工作合规、高效落地。2、预决算及报表管理:牵头参与酒店年度、季度、月度财务预算与决算编制工作,精准完成盈利预测、经营台账、财务分析报表等各类内部财务报表的编制、汇总与梳理,统筹优化预决算体系,为酒店财务统筹规划提供基础支撑。3、财务资料报送:严格按照企业及监管要求,按期保质完成酒店财务快报、季度报表、年度报表等各类财务资料的整理、审核与报送工作,严控数据准确性与报送时效性,保障财务信息传递规范及时。4、内控流程审核:负责酒店员工费用报销、日常财务收支、法务对接、资金支出等全流程审核工作,严格执行企业财务管理制度及费用标准,规范各项财务流程,排查财务风险,完善酒店财务内控体系。5、税务统筹管理:全权负责酒店增值税、企业所得税等全税种的纳税申报、税款缴纳、年度汇算清缴等工作,熟悉酒店行业税收优惠政策,合理开展合规税务筹划;常态化维护税企关系,对接税务核查、政策落地等工作,保障企业税务零风险、全合规。6、经营数据分析:定期对酒店营收数据、运营成本、各项费用支出、盈亏情况等核心经营数据进行汇总、对比、深度分析,梳理经营痛点、成本管控漏洞及营收增长优势,输出专业经营分析报告,为管理层优化经营策略、管控成本、制定发展规划提供精准数据决策依据。7、部门日常统筹:统筹部门日常专项工作,落实财务制度落地、流程优化、团队工作统筹等相关事宜,协调部门内外协作工作,提升财务团队整体工作效率与运营质量。8、其他专项工作:严守财务职业道德与企业机密,配合完成酒店年度审计、工商年检、专项财务核查等工作,高效落地领导交办的各类临时性、专项性财务工作。二、任职资格1、学历及专业要求全日制本科及以上学历,财经、财务、会计、税务等相关专业,具备扎实的财务专业理论基础。2、工作经验要求5年及以上财务管理相关工作经验,拥有酒店行业财务工作经验优先;具备国央企财务工作背景、独立操盘全盘财务工作、有财务团队管理经验者优先,可尽快到岗履职。3、专业能力要求(1)具备极强的工作责任心、严谨细致的财务职业素养,坚守财务工作底线,无财务违规从业记录;(2)精通财务预算编制、成本管控、资金统筹、内控管理、税务筹划等全套财务管理体系,熟悉酒店行业财务运营模式及合规标准;(3)具备优秀的逻辑思维、数据复盘与经营分析能力,可精准挖掘经营数据价值,为企业经营决策提供有效支撑。4、通用能力要求(1)熟练掌握金蝶、用友等主流财务软件,精通Office办公套件,熟练运用Excel函数、数据透视、可视化报表等工具完成财务数据分析工作;(2)严格遵守财务职业道德,保密意识极强,严守公司财务机密;(3)具备良好的团队协作、统筹协调与问题解决能力,抗压能力强,可快速适配酒店行业工作节奏。5、其他要求年龄28-35岁,职业稳定性佳,认同企业管理制度与发展理念。
  • 上海 | 5年以上 | 大专 | 提供食宿
    国内高端酒店/5星级 | 2000人以上
    • 投递简历
    【岗位职责】 1、负责酒店日常财务核算工作,包括收入、成本、费用的审核与账务处理,确保账务准确、及时; 2、编制酒店月度、季度及年度财务报表,进行财务分析,为管理层提供决策支持; 3、监督酒店资金流动,管理银行账户、现金及票据,确保资金安全与合理使用; 4、负责税务申报及税务筹划工作,确保酒店税务合规,优化税务成本; 5、审核酒店采购、报销及付款流程,确保财务制度执行到位,防范财务风险; 6、配合内外部审计工作,提供所需财务资料,并跟进审计问题的整改落实; 7、协助制定和完善酒店财务管理制度及流程,提升财务管理效率; 8、完成上级领导交办的其他财务相关工作。 【岗位要求】 1、大专及以上学历,财务、会计、审计等相关专业; 2、5年以上财务工作经验,其中至少3年以上酒店行业财务工作经验,熟悉酒店财务运作流程; 3、具备扎实的财务专业知识,熟悉会计准则、税务法规及财务相关法律法规; 4、熟练使用财务软件(如用友、金蝶等)及办公软件(Excel、Word等),具备较强的数据处理能力; 5、具备良好的分析能力、沟通协调能力及团队合作精神,责任心强; 6、年龄25-35岁,能承受一定的工作压力,适应酒店行业的工作节奏; 7、持有初级会计职称及以上证书者优先考虑。
  • 上海 | 3年以上 | 学历不限
    • 五险一金
    • 法定三薪
    • 年终奖
    • 提供食宿
    • 免费工作餐
    • 提供员工宿舍
    • 带薪年假
    • 带薪病假
    • 团建聚餐
    • 岗位晋升
    有限服务中档酒店 | 1-49 人
    • 投递简历
    1、按照财务管理制度,做好现金、票据的收付及公章(与酒店总经理双保管)和证照的保管; 2、监督及审核酒店各项人事行政工作,包括人力资源行政基本事务、员工宿舍等管理等工作; 3、按照总部要求完成财务和人事数据整理与分析,输出报表; 4、协助酒店总经理进行资产管理及人力成本管控; 5、监督工程设备维护工作的执行情况; 6、协助酒店总经理进行店内消防安全检查、质检,督促工程人员定期开展设备、设施管理及安全检查; 7、与当地劳动、税务、消防主管部门保持良好关系; 8、负责团队的人才梯队搭建,组织业务培训,制定团队绩效考核方案并监督执行情况; 9、按生活方式酒店保险制度,及时购买相关保险; 10、关注细节、以身作则,完成领导交办的其他工作。 1)中高端酒店行业同等职位工作经验,或国际品牌酒店人事、财务经理从业经验; 2)形象气质佳,沟通能力强,英语听说读写能力强者优先。
  • 上海 | 5年以上 | 大专 | 食宿面议
    • 五险一金
    • 包吃包住
    • 带薪年假
    • 岗位晋升
    • 技能培训
    • 生日派对
    • 美食节
    • 温德姆员工价
    • 绩效奖金
    • 好评奖金
    国际高端酒店/5星级 | 100-499人
    • 投递简历
    1.督导会计部、成本控制部的业务操作。 2.起草各种管理制度,落实各有关制度。 3.编写年度财务预算。 4.负责酒店的财产管理。 5.检查各种财务报告的及时、正确性,向财务总监呈报会计报表。 6.检查各项税金的上缴,加强与财政部门的业务联系,协调外部关系,取得有关信息。 7.配合各级外部审计查账工作,审核检查所有对外编报的数据及财务报表,确保无误方可报出。 岗位要求 1.财务管理、会计、金融相关专业、大专及以上学历,中级以上会计师职称。 2.具有2年以上财务负责人工作经验,2年以上X星级及以上财务岗位工作经验,熟悉酒店财务管理模式。 3.具有丰富的酒店财务管理、营运分析、成本控制的经验和技巧。 4.熟练运用会计电算化,熟练使用ERP财务软件。 5.工作细致、严谨,具有较强的工作热情和责任感。 6.良好中英文书写和口头表达能力,优秀的沟通、分析能力,对酒店忠诚度高。
  • 上海 | 5年以上 | 本科 | 提供吃
    • 五险一金
    • 意外险
    • 绩效奖金
    • 法定三薪
    • 包吃包住
    • 节假日福利
    • 带薪年假
    • 带薪病假
    • 周末双休
    • 技能培训
    国际高端酒店/5星级 | 1-49 人
    • 投递简历
    岗位职责: 1. 核算与报表: 负责直营酒店板块日常财务核算、月度结账及管理报表的输出,确保数据准确、及时。 2. 经营分析: 深入直营酒店经营单元,定期出具经营分析报告(收入、成本、费用、利润),识别问题并提出改善建议。 3. 成本管控: 重点监控餐饮成本、客房消耗品、能耗及人工成本,与运营部门联动制定降本增效方案。 4. 预算与预测: 协助财务负责人完成年度预算编制,并滚动进行经营预测,跟踪预算执行情况。 5. 税务与审计: 统筹税务筹划,对接内外部审计,确保合规。 6. 系统与流程: 推动财务信息化建设,优化财务流程,提升效率。 任职资格 任职要求: 1. 财务、会计等相关专业本科及以上学历。 2. 5年以上财务工作经验,有酒店、餐饮或连锁行业经验者优先。 3. 熟悉酒店行业财务核算体系,熟练使用主流财务软件及酒店PMS系统。 4. 数据敏感度高,擅长Excel或BI工具进行数据分析。 5. 具有良好的跨部门沟通能力,能主动深入业务发现问题、解决问题。 6. 细心、责任心强,能承受快节奏工作压力。
  • 上海 | 3年以上 | 学历不限
    国内高端酒店/5星级 | 100-499人
    • 投递简历
    包吃包住,必须要有酒店财务经验 财务经理负责日常应收应付,月结等工作
  • 上海 | 经验不限 | 学历不限 | 提供食宿
    • 五险一金
    • 带薪年假
    • 管理规范
    全服务中档酒店/4星级 | 100-499人
    • 投递简历
    job overview职位概述 Provide management with timely financial analysis for effective decision-making.  Prepare all statutory and management requirements of InterContinental Hotels Group and Owners.  Develop financial strategies including IT strategies to help develop the business and review periodically. 为管理层提供及时的财务分析,以便有效的作出决策。准备洲际酒店集团和业主的所有法律和管理文件。设定财务策略包括信息技术策略以帮助业务发展并定期回顾。 At InterContinental Hotels & Resorts we want our guests to feel special, cosmopolitan and In the Know which means we need you to: ·     Be charming by being approachable, having confidence and showing respect. ·     Stay in the moment by understanding and anticipating guests’ needs, being attentive and taking ownership of getting things done. ·     Make it memorable by being knowledgeable, sharing stories and showing your style to create moments that make people feel special. 在洲际酒店及度假村,我们希望宾客感觉到风格独特、时尚现代和深入洞悉的体验,这意味我们需要你: ·     亲切、充满自信、体现尊重来展现富有魅力的你。 ·     理解和预测宾客的需要、做到细心周到、具以主人翁精神、把事情办好,保持专注当下。 ·     见多识广、分享阅历、展现你的风格来创造令人感觉特别的时刻,做到令人难忘。 Duties and Responsibilities工作职责 ·         Assists and provides financial guidance in the formulation and implementation of Strategic Plan, Budget and KPO’s (Goals Program) ·         在制定和实施战略计划,预算和KPO(目标计划)时,协助提供财务指导。 ·         Ensure an up to date cash flow projection is maintained and maximizes cash flow performance of the hotel through controls on inventory, credit and collection, disbursements, deposits and remittances ·         确保提供最新的的现金流量预测,并通过对存货、信贷及应收支出、存汇款的控制,使酒店的现金流产生最大效益。 ·         Ensure excess cash is managed to maximize earning potential ·         严格资金管理,使其发挥最大的效益 ·         Prepares outlooks for forthcoming months and forecasts for the remainder of the year ·         制定即将到来的几个月及本年度剩余月份的经营分析预测 ·         Prepares monthly position of actual results against budget, analyze results and recommend to Executive Committee measures required to meet budget ·         对比预算,编制月度实际业务情况报告,分析结果并向行政委员会建议实现预算的具体措施。 ·         Prepare consolidated quarterly position assessments for the General Manager ·         向总经理提供季度财务情况汇总分析报告 ·         Distributes outlook and forecast information as an up to date management tool for operating departments ·         作为最新的管理工具,向运营部门分发财务经营状况和经营预测信息报告 ·         Implement and review financial controls and policies ·         执行和审查财务管理方法和规章。 ·         Communicate with Owners and maintains good relations and attends liaison meetings when required ·         与业主进行交流,并在必要时出席工作会议。 ·         Analyze financial and management reports ·         分析财务和管理报表。 ·         Design internal reporting systems required by the department and hotel ·         按酒店和部门的要求设计内部报告系统。 ·         Evaluate existing internal control measures that apply to accounting procedures and computer systems as per IHG Policies and Procedures ·         按照洲际酒店集团的政策与流程,评估现有的适用于财务管理流程及电脑系统的内部控制措施。 ·         Employ adequate internal control procedures to ensure correct authorization for payment procedures ·         采用充分有效的内部控制措施以确保正确的付款审批权限 ·         Manage internal and external audits when they occur ·         对内部及外部审计工作进行管理 ·         Provides administrative support to Management with reference to policy enforcement, business advice and operational assistance ·         通过推进执行管理政策、业务发展建议和运营支持等方式向管理层提供行政管理支持 ·         Identifies training needs, develops formal training plans and conducts training sessions for accounting and operational staff in coordination with other departments ·         协调其它部门,分析财务及运营人员的培训需求,开发正式的培训计划并组织员工参加培训 ·         Identifies staff with potential for promotion and/or transfer within Accounting operation ·         发现那些有升职可能的员工,并且安排他们在酒店业务运行支持部门轮岗 ·         Obtains appropriate legal counsel regarding the business practices of the hotel and maintains an awareness of local laws, rules and regulations ·         获取与酒店经营相关的法律咨询信息,拥有良好的地方法律法规意识 ·         Provides safekeeping, including proper storage and access for all contracts, leases and other financial records ·         对包括所有合同、租赁及财务文件在内的所有信息提供安全保证,确保其得到妥善保管和安全存取。 ·         Follows up on all capital expenditures to ensure compliance with original justification and approval ·         跟进所有资本支出,保证其按照原有的审批程序执行 ·         Participates in local recognized professional and industry organizations ·         参与本地认可的职业及行业组织 ·         Recommends and maintains appropriate list of delegation of authority for hotel management ·         为酒店管理层建议合适的授权代表名录并对名录进行维护。 ·         Conducts monthly inspections and tests to ensure all departments are complying with required procedures ·         进行月度检查和测试,确保所有部门按照要求遵守相关的工作规程 ·         Performs those duties required by the controls checklist issued by IHG Regional Director of Finance and Business Support / Area V.P. Finance ·         按照洲际酒店集团区域财务总监或区域财务副总裁颁发的财务控制要点履行相关职责。 ·         Reviews prices and recommends pricing strategy to the General Manager ·         评审产价格,向总经理建议适当的价格策略 ·         Implements and maintains acceptable accounting practices and procedures as required by InterContinental Hotels Group Policy, generally accepted accounting practices, and as affected by local conditions ·         按照洲际酒店集团的规章制度,公共会计准则和当地适用条款的规定执行和维护认可的会计工作准则和会计程序。 ·         Select and monitor the Local Banking arrangements made for the operation of the Hotel in Conjunction with the Hotel Owners (Managed Hotels)  ·         配合酒店业主选择和监督与酒店业务运营相关的当地银行的业务工作。(管理的酒店) ·         Review of operating equipment stores to avoid unnecessary/excessive purchases and to eliminate (or at least be aware) of obsolete slow moving items ·         审查运营设备库房,避免不必要或过度采购,清理(或至少意识到)流通缓慢的陈旧物品。 ·         Ensure all accounts are reconciled on monthly basis, review and approve those reconciliation’s ·         每月进行会计对帐工作,审批会计对帐表。 ·         Ensure payments are made to IHG (All Fees and billings) as fast as possible ·         确保洲际酒店集团内部的财务款项及时得以支付。 ·         Management of work flows of the finance department ·         管理财务部门的工作流程。 ·         Assist in the maintenance of the fixed asset register on an annual basis ·         协助完成注冊的固定资产的年度登记工作。 ·         Together with the IT Manager develop yearly strategic goals for the hotel relating to financial measures ·         与信息技术经理一起为酒店设立与财务工作相关的年度策略目标。 ·         Work with Head of Departments to perform ad hoc cost benefit analysis on various projects ·         与各部门领导一起对不同的项目进行专门的成本收益分析 ·         Works with Human Resources on manpower planning and management needs ·         与人力资源部合作制定人力资源规划和管理需求 aCCOUNTABILITY责任范围 Annual Operating Profit/Payroll Budget – 年度经营利润和薪金预算 ·         Department Budget and Headcounts ·         部门预算和雇员 ·         Hotel Budget ·         酒店预算              Key Metrics – 主要绩效指标 ·         Departments Budget ·         部门预算 ·         Hotel Budget ·         酒店预算 ·         Employee Satisfaction Survey ·         员工满意度调查 Decision Making Responsibilities (Decision Rights) – 决策职责(决策权) ·         Department Budget ·         部门预算 ·         Hotel Budget ·         酒店预算 QUALIFICATIONS AND REQUIREMENTS任职要求 Required Skills – 技能要求 ·         Demonstrated ability to interact with customers, employees and third parties that reflects highly on the hotel, the brand and the Company. ·         具有代表酒店,品牌和公司与顾客,员工和第三方交往的能力。 ·         Proficient in the use of Microsoft Office ·         能熟练使用微软办公软件 ·         Problem solving, reasoning, motivating, organizational and training abilities. ·         具有解决问题,推理,号召,组织和培训能力 ·         Good Communication and writing skills ·         具有良好的沟通和写作技能 Qualifications – 学历 ·         Bachelor’s degree in Accounting, Finance or related field.  CPA preferred. ·         会计,财务或相关专业的学士学位。注册会计师优先。 Experience – 经历 ·         4 years in hotel accounting or audit with at least one year in similar supervisory role, or an equivalent combination of education and work-related experience. ·         4年酒店会计或审计工作经历,至少有一年类似主管管理经验,或与此相当的教育和相关工作经验结合的背景。
  • 上海 | 经验不限 | 学历不限 | 提供食宿
    国际高端酒店/5星级 | 2000人以上
    • 投递简历
    岗位职责 1、负责酒店所有会计和财务要求的严格控制。 2、为酒店利益最大化,向总经理及酒店团队提供财务支持,建议及专业意见。 3、发展酒店财务质量,作为酒店4M结构的重要组成部分,为团队的其他成员提供专业意见及支持。 4、具有与业主,税务官员及相关人员沟通的丰富经验. 5、拥有的9个核心竞争力:影响力、沟通能力、发展关系、数据分析、决策、计划、商业意识、应变能力和人员管理。 岗位要求 希尔顿财务经理职位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:   1、大学会计和管理方面的学位。 2、作为财务经理或更高职位至少五年的工作经验。 3、有财务管理经验 4、英文书写及口语流利。 5、与本地银行及政府机关保持良好关系。 6、熟悉国家及本地法律。 7、基本掌握计算机技能。 8、具有领导,指导和发展员工的能力。 9、具有培训、激励、评估、指导员工及经理的能力,以达到预订目标。 10、具有策略性、创造性及灵活性。 11、有运作部门工作经验者将被优先考虑。
  • 总账会计

    6千-7千
    上海 | 3年以上 | 大专 | 提供食宿
    • 五险一金
    • 补充医疗保险
    • 意外险
    有投必应
    有投必应
    全服务中档酒店/4星级 | 100-499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、大专学历,财务会计专业毕业。 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。
  • 总账会计

    6千-8千
    上海 | 经验不限 | 本科
    • 五险一金
    • 节日礼物
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 领导好
    • 包吃包住
    • 人性化管理
    国内高端酒店/5星级 | 1000-2000人
    • 投递简历
    1.负责酒店日常账务核算,审核各类原始凭证,编制记账凭证,确保账务处理符合会计准则和酒店财务制度。 2.主导酒店总账管理,定期核对总账与明细账,做到账证、账账、账实相符,及时处理账务差异。 3.按时编制酒店财务报表,包括资产负债表、利润表、现金流量表等,并进行财务数据初步分析,为管理层提供数据支持。 4.负责酒店税务管理,准确计算各类税种(如增值税、企业所得税等),按时完成纳税申报与缴纳,确保税务合规。 5.对接酒店各业务部门(如前厅、餐饮、采购),收集财务相关数据,审核部门费用支出,控制成本与费用。 6.管理酒店固定资产与存货的账务,定期参与资产盘点,核对盘点结果与账务记录,处理资产减值、报废等账务。 7.整理与归档酒店财务凭证、报表、合同等资料,建立完善的财务档案管理体系,确保资料安全可查。 8.配合内外部审计工作,提供审计所需的财务数据与资料,协助审计人员完成审计报告,跟进审计整改事项。
  • 上海 | 3年以上 | 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
    • 全球免费房
    • 凯悦员工价
    • 领导好
    国际高端酒店/5星级 | 50-99人
    • 投递简历
    招聘要求: 1、财务相关专业、大专及以上学历; 2、具有3年以上4星级及以上国际品牌酒店财务相关岗位工作经验,熟悉酒店财务管理模式; 3、通晓财务、会计、金融、税务知识、掌握法律相关知识,具备基本计算机应用知识。 4、熟练运用OPERA系统、熟练使用ERP财务软件。 5、良好的团队领导力、协作能力,优秀的沟通、分析能力,对企业忠诚度高,抗压能力强。 6、态度优先、具有良好、积极的工作态度和高度的工作责任感,培养技能、热衷学习新事物,灵活和适应变化,敢于挑战、发挥潜能、要有向上发展的欲望,发挥个人潜能 岗位职责: 1、管理酒店日常财务管理及相关证照管理工作。 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。
  • 总会计师

    1万-1.5万
    上海 | 经验不限 | 学历不限
    • 技能培训
    • 带薪年假
    • 岗位晋升
    • 管理规范
    • 领导好
    • 人性化管理
    • 集团内部调动
    • 提供员工宿舍
    • 优秀员工奖励
    国际高端酒店/5星级 | 100-499人
    • 投递简历
    【岗位职责】 1、协助财务总监开展酒店财务部日常管理工作,包括预算编制、成本控制、财务分析等 2、监督酒店各项财务制度的执行情况,确保符合集团标准和当地法规要求 3、审核各类财务报表、税务申报及资金运作,确保财务数据的准确性和及时性 4、协调与银行、税务、审计等外部机构的关系,处理相关财务事宜 5、参与酒店经营决策,提供专业的财务分析和建议 6、负责财务团队的管理和培训,提升团队专业能力 【任职要求】 1. 会计、财务相关专业专科学历及以上 2. 5年以上国际酒店管理公司相关工作经验,至少2年以上本岗位工作经验识 3. 熟悉国际集团财务软件,具较强的业务支持能力和数据分析能力 4. 精通会计准则及税务法规,具备良好的财务风险管控意识; 5. 具备优秀的沟通协调能力及团队管理能力; 6. 工作细致严谨,责任心强,能承受一定的工作压力。 -Accounting and finance related college degree -5 years or above related working experience in international hotel, at least 2 years working experience in this position. -Advanced knowledge of accounting ,finance and hospitality profession -Experience with accounting software -Strong analytice skills -Good communication and team work spirit
  • 上海 | 经验不限 | 学历不限
    • 五险一金
    • 法定三薪
    • 免费工作餐
    • 提供员工宿舍
    • 带薪年假
    • 带薪病假
    • 月休8天
    • 技能培训
    • 岗位晋升
    • 集团内部调动
    国际高端酒店/5星级 | 100-499人
    • 投递简历
    1.信贷运营主管 2.收货主管 信贷运营主管【岗位要求】 1、具备扎实的会计专业知识,熟悉企业会计准则及税务法规; 2、熟练使用财务软件(如用友、金蝶等)及办公软件(Excel、Word等); 3、具备较强的数据分析能力,能独立完成财务报表编制及分析; 4、工作细致严谨,责任心强,具备良好的沟通与团队协作能力; 5、有酒店行业财务工作经验者优先; 6、能承受一定的工作压力,适应快节奏工作环境。 收货主管【岗位要求】 能承受一定的工作压力,适应快节奏工作环境。
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