Finance Officer at Accor
Sydney NSW 2000, , Australia -
Full Time


Start Date

Immediate

Expiry Date

04 Oct, 25

Salary

0.0

Posted On

05 Jul, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Accounting

Description

Company Description
Accor is a global hotel powerhouse, with over 5,000 properties in 100+ countries and more than 260,000 hospitality professionals worldwide. We’re not just industry innovators, we’re people-powered service experts, pioneering the art of responsible hospitality and connecting cultures with heartfelt care.
Right in the heart of Darling Harbour, Novotel and Ibis Sydney Darling Harbour is one of Accor’s flagship hotels. With 781 guest rooms, iconic views, and unbeatable access to Sydney’s best attractions, we’re a go-to destination for both leisure and business travellers.
Job Description
We’re on the lookout for a Finance Officer (PT/FT) to join our dynamic team. If you’re meticulous with numbers, thrive on accuracy, and want to bring your financial flair to one of Australia’s most iconic hotels- we want to hear from you.

Responsibilities

AS FINANCE OFFICER, YOU WILL BE AN ALL-ROUNDER ASSISTING IN HELPING THE SMOOTH OPERATIONS OF THE FINANCE DEPARTMENT. RESPONSIBILITIES INCLUDE (BUT NOT LIMITED TO: )

  • Assisting with accounts receivable and payable functions, including issuing invoices, processing payments, managing vendor accounts, and maintaining up-to-date records with accuracy and timeliness.
  • Collaborates with the team on collecting and reconciling daily cash from hotel outlets, manage petty cash and floats, prepare banking reports, and ensure compliance with internal cash handling and security procedures.
  • Aids the team with credit applications, maintain debtor accounts, follow up on outstanding payments, resolve disputes, and communicate effectively with clients and departments to ensure timely collections.
  • Keep detailed and secure financial records and not limited to- Assisting with audits and end-of-month reporting, reconcile statements, and uphold internal controls and regulatory compliance across all finance functions.
    Qualifications
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