Ensure the Cluster Hotels' Teams prepare and provide month end closing and all other required management reports
Work with the Finance Managers/General/Hotel Managers to provide full and accurate forecasting and budgeting proposals within the Cluster Hotel
Develop best practice financial accounting and control procedures and continually review the process and procedures to maximise impact and efficiency
Ensure the balance sheets are a fair reflection of the assets and liabilities of the hotels
Hold monthly finance update meetings with General Manager/Hotel Team
Comply with Hilton policies and procedures across the area, maximising performance on the Finance Balanced Scorecard
Act in accordance with fire, health and safety regulations and follow the correct procedures when required
Manage the hotels' relationships within the Cluster to ensure excellent service by providing quality input such as the accurate and timely processing of invoices, banking and payroll transactions
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