Play a crucial role in making sure our hotels run efficiently without compromising our overall goal of providing a fantastic guest experience
Contribute to the financial day-to-day of both hotels, including managing site revenue (and any variances), the sales ledger, ensuring payments are made and received as expected
Make sure all our financial processes run smoothly and keeping an eye on how we could keep improving ways of working
Help prepare monthly reporting, taking on aspects of the hotel month-end process that incorporates P&Ls, Balance sheet and cashflow
Work closely with the hotel teams, becoming a trusted commercial & financial partner
Provide input into tax and process filing & payments to related Government Agencies, including VAT returns, P11D and PAYE
Participate in running external audits
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