Our client is leading global brand in the hospitality industry operating more than 50 luxury hotels and resorts.
THE ROLE :
Responsible for the preparation of quarterly accounts, including co-ordination of all schedules, reconciliations and reporting packages for review by the Management.
Prepare financial reports on cash flow, gross margin analysis, fixed assets, income statement and balance sheet flux schedules.
Ensure timely and accurate submission of all reporting packages on a monthly and quarterly basis.
Prepare various business reports on a timely basis providing accurate analyses and follow-up on variances where required
Co-ordinate and prepare annual audit schedules including liaison with external auditors
Identify and drive areas of improvement with the aim of maintaining high standard of service
Support the Management and wider finance team on any ad-hoc duties or projects
THE REWARDS :
You shall have the opportunity to work for a reputable Global Employer with reputation as an Employer of Choice known for its emphasis on human capital development.
An attractive remuneration package with wide range of employees’ benefits, good career development prospects awaits successful candidates.
Bachelor Degree (Finance / Accountancy) & at least 5 years’ of relevant work experience required.