Key Responsibilities
- Daily Revenue & Audit: Reconcile daily revenue reports from the Property Management System (PMS) and Point of Sale (POS) systems.
- OTA & Vendor Reconciliations: Track and reconcile payments from Online Travel Agencies (OTAs), corporate clients, and external vendors.
- Accounts Payable/Receivable: Process daily invoices, manage vendor payouts, and ensure timely collection of outstanding receivables.
- Tax & Compliance: Prepare and file accurate GST, TDS, and other statutory returns in compliance with local regulations.
- Bank Reconciliations: Conduct daily and monthly bank reconciliations across multiple property accounts.
- Inventory & Costing: Assist in tracking Food & Beverage (F&B) inventory and operational expenses to identify cost-saving opportunities.
- Month-End Close: Assist the finance leadership team in preparing monthly profit and loss (P&L) statements, balance sheets, and cash flow reports.
Job Type: Full-time
Pay: ₹12,000.00 - ₹20,000.00 per month
Language:
Work Location: In person