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Key Responsibilities:
- Lead the financial operations for UK/EU hotels, including financial analysis, forecasting, and reporting.
- Manage treasury functions, including cash management, liquidity planning, and risk management.
- Develop and maintain the UK/EU tax strategy, ensuring compliance with regional tax regulations.
- Provide actionable insights and financial guidance to senior management, GMs, and other stakeholders.
- Ensure efficient processing and settlement of payments, receipts, and banking through the UK ASSC.
- Support the corporate office with consolidated financial statements and group reports.
- Provide leadership to Controllers and managers under your charge.
- Collaborate with external partners, such as auditors and regulators, on financial matters.
Role Requirements:
- A minimum of 15 years of experience in Finance and Accounting in the Hotels and hospitality industry.
- Eligible to work in the UK (UK resident or settled status).
- Proven experience in finance leadership, with expertise in IFRS, UK taxation, and consolidated accounts.
- Strong operational and technical knowledge, with the ability to implement efficiencies and synergies.
- Excellent leadership and communication skills, with a track record of driving change.
- Ability to prioritize multiple tasks and meet tight deadlines.
- Strong analytical, problem-solving, and decision-making abilities.
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Contact Detail:
TN United Kingdom Recruiting Team