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Position Purpose
The hotel-based Accountant role is responsible for supporting the Clustering finance department in managing financial transactions, ensuring accuracy in reporting, and maintaining compliance with accounting standards. This role contributes to the overall financial health of the hotel by assisting in accounts payable and receivable, preparing financial reports, and supporting daily operations.
Duties & Key Responsibilities
Accounts Payable
- Account for and audit all items on purchase orders, receiving records, suppliers’ invoices, outgoing shipments, and credit notes.
- Review all payments at the property level and forward them to the Cluster Assistant Director of Finance for approval and signature.
- Ensure all invoices have supporting documentation attached before approval or payment.
- Balance suppliers’ monthly statements with the hotel’s accounts payable records and follow up on missing invoices or credit notes.
- Ensure invoices are approved by relevant Department Heads before payment.
- Properly record, reconcile, and prepare invoices for payment, ensuring correct general ledger and cost centre codes are used.
- Ensure the best rates are used for foreign currency payments and maintain confidentiality of bank account details.
- Maintain an up-to-date filing system and handle all requests and inquiries in a timely and friendly manner.
- Ensure security of all stores and proper access restrictions.
- Verify that all incoming goods are received via the Receiving Area and checked against purchase orders.
- Record and verify food and beverage invoices for accuracy against approved market prices. Conduct regular inspections of storerooms and receiving areas to ensure compliance with standards.
- Maintain knowledge of the hotel’s inventory system and assist in training users on its operation.
- Monitor stock levels and conduct monthly stock takes, ensuring accurate records of inventory receipts and issues.
- Collaborate with the Cluster Purchasing Manager and department heads to minimize costs without sacrificing quality.
- Collect all F&B bills and Front Office folio with supporting bills, ascertaining that the totals shown in agreement with trial balance reports.
- Audit guest ledgers and all entertainment checks for propriety and authorization, then forward to Cluster Senior Accountant (IA) for review and approval, carrying out the same procedures for house use checks.
- Maintain control record of Cashiers’ over / short and investigate major discrepancies and prepare monthly summary for approval, reporting material shortage immediately.
- Check all void checks and prepare void list reports (F&B).
- Control all coupons issued in regard to promotions, including group meals, in coordination with the Senior Accountant.
- Collect and count (with a witness from the Operations department) the contents of all cashiers’ envelopes on a daily basis.
- Include all money orders in the daily deposit to the bank.
- Prepare General Cashier’s Daily Report.
- Provide all cashiers with change as required.
- Reimburse cashiers for any disbursements / due backs made by them.
- Properly account for all disbursements made from the General Cashier’s float.
- Ensure that all cashiers and witness drop is properly noted in the drop log, highlighting any deviation.
- Ensure that adequate security measures are in place in the transferring of funds to or from the hotel.
- Provide clear instructions to cashiers on how to handle their funds and secure them from loss.
- Ensure that the physical house funds in agreement with the house fund’s general ledger account and is reconciled on a monthly basis.
- Bring any discrepancies or irregularities to the attention of the Cluster Director of Finance.
- Safeguard and secure access to the General Cashier’s float and safe at all times.
- Disburse petty cash only on the presentation of a petty cash voucher approved by the Cluster Director of Finance or in his / her absence.
- Properly record, reconcile and prepare for reimbursement, the petty cash imprest on a weekly basis ensuring all transactions have supporting documentation.
- Collect and reconcile credit card transactions in the trial balance report with all sales slips.
- Collect up to date supporting documents for all credit card charges.
- Coordinate with the banks for credit draft capture issues.
- Collect up to date supporting documents for all city ledgers.
- Previous experience in accounting or finance is preferred.
- Strong understanding of accounting principles and practices.
- Excellent communication and interpersonal skills.
- A bachelor’s degree in accounting, Finance, or a related field. CPA or equivalent qualification preferred
Tru by Hilton Da Nang City Centre
Schedule
Full-time
Brand
Tru by Hilton
Job
Accounting
Tập đoàn Khoa học Công nghiệp nặng & Công nghệ ZoomlionT được thành lập vào năm 1992, chủ yếu hoạt động trong lĩnh vực nghiên cứu và sản xuất thiết bị công nghệ cao về xây dựng và nông nghiệp. Với hơn 20 năm đổi mới và phát triển, Zoomlion hiện là một doanh nghiệp toàn cầu sở hữu 9 mảng sản phẩm lớn với 49 dòng sản phẩm gồm 800 các sản phẩm hàng đầu. Zoomlion là công ty máy móc xây dựng đầu tiên của Trung Quốc được niêm yết trên cả thị trường chứng khoán Thẩm Quyến và Hồng Kông với số vốn đăng ký lên đến 7.664 tỷ nhân dân tệ. Hiện nay, tập đoàn đang tích cực thúc đẩy chuyển đổi chiến lược, nhằm xây dựng một doanh nghiệp sản xuất thiết bị cao cấp về máy móc công trình, máy móc nông nghiệp kết hợp dịch vụ tài chính.
Công ty TNHH Zoomlion Việt Nam là công ty con của Tập đoàn Khoa học Công nghiệp nặng & Công nghệ Zoomlion, được thành lập tại Việt Nam từ năm 2010.
Website: www.vn.zoomlion.com
- Trụ sở: Tầng 9, tòa nhà Center Building, số 1 Nguyễn Huy Tưởng, phường Thanh Xuân Trung, quận Thanh Xuân, TP. Hà Nội, Việt Nam.
- Chi nhánh miền Nam : 481 Quốc lộ 1A, phường Bình Hưng Hòa, quận Bình Tân, Hồ Chí Minh
-Chi nhánh miền Trung : số 439 Trường Sơn, phường Hòa Thọ Tây, quận Cẩm Lệ, Đà Nẵng