Ensure that documents are
provided by the concerned department to justify request for payments.
Submit request for payment to
Financial Controller and General Manager for approval.
Ensure that the cost
distribution and account code charge for every payment are in line with
the guidelines of the hotel operation.
Make payment according to the
required payments terms.
Ensure that the hotel monthly
regular operating cost and expenses are properly accrued in book.
Reconcile Accounts Payable
related accuonts and cah in bank account (credit side).
Prepare payment voucher once
all purchasing procedure has been completed.
Account for and audit all
items on all documents and ensure that the required documents are
completed and attached to the payment voucher.
Reconcile processed work by
verifying entries and comparing system reports to balances
Charge expenses to accounts
and cost centers by analyzing invoice/expense reports and recording
entries.
Maintain accounting ledgers by
verifying and posting account transactions
Verify vendor accounts by
reconciling monthly statements. Enter new or update vendor names and data
Report sales taxes by
calculating requirements on paid invoices
Provide accurate and effective
document preparation and records management relative to the AP function in
accordance with records retention policies and procedures
Protect organization’s value
by keeping information confidential
Requirements
& Qualifications
Diploma or Degree in
Accounting, Finance, or related field (ACCA levels are a plus).
1 to 3 years of experience in
accounts payable, preferably within the hospitality or tourism sector.
Originally posted on WakandaJobs.com - Source: www.wakandajobs.com