**Job Number** 23057814
**Job Category** Finance & Accounting
**Location** Melbourne Marriott Hotel, Corner Exhibition & Lonsdale Streets, Melbourne, Victoria, Australia
**Schedule** Full-Time
**Located Remotely?** N
**Relocation?** N
**Position Type** Non-Management
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To maintain strong internal control in the hotel and compliance with Marriott ISOP. Carry out Accounts Payable, Income Audit Functions and verify all monies collected, ensure correct banking deposits and availability of adequate change supply. Monitor all house floats for accuracy and completeness. Assist in daily accounting duties.
CORE RESPONSIBLITIES
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Exceeding Customer Expectations - Providing services that are above and beyond following Brand Standards for customer satisfaction and retention.
? Modelling Appropriate Behaviours - Serving as a role model to demonstrate appropriate behaviours and grooming standards. Educate and exhibit Marriott Service Basics
? Know the Business - Obtain a solid knowledge of the Marriott Culture, hotel product including room types, rates, food and beverage outlets and other hotel features and guest facilities.
? Guiding, Directing, and Motivating Subordinates - Providing guidance and direction to subordinates/trainee, including setting performance standards and monitoring performance.
? Developing and Building Teams - Encouraging and building mutual trust, respect, and cooperation among team members.
? Achieving/Exceeding Goals - Achieving and exceeding goals including performance goals, budget goals, team goals, etc.
? Organizing, Planning, and Prioritizing Work - Developing specific goals and plans to prioritize, organize, and accomplish your work.
? Communicating, Monitoring, and Ensuring Safety Standards - Be aware, adhere to and communicate the importance of all Melbourne Marriott's Occupational Health and Safety and Security policies and procedures and monitoring processes and procedures related to safety.
? Policies and Procedures - Support and abide with all Melbourne Marriott LSOP's including those pertaining to Antidiscrimination, Sexual Harassment, Equal Employment Opportunity and Guarantee of Fair Treatment.
? Ethics & Integrity - Perform all duties to satisfy the Marriott "Business Ethics" value system of integrity, fairness, respect, honesty and trust.
? Confidentiality & Security - Support the Marriott "Information Protection Policy" and conform to all requirements of the authority.
? Perform any reasonable task as requested by management.
CRITICAL TASKS
Accounts Payable (40%)
1. Entering of all outstanding invoices into the hotels accounts payable system, whilst ensuring correct assignment of general codes. Payment of all invoices on a timely basis.
2. Preparation of all cheques, including all manual cheques.
3. Monitoring and checking of all creditor statements to ensure the hotel remains 'current' in its payments, whilst also ensuring full recognition all potential expenditures.
4. Assist all department heads and managers with any expense related enquiries.
5. Ensuring prior to month-end all unpaid invoices are entered into the accounts payable system. Provide director of finance with a list of any required accruals.
6. Preparation and retention of all month-end related accounts payable reports including purchase journals, aged payables report and cheque registers.
7. Responding to all vendor queries on a timely basis.
8. Assist in other general accounting functions as needed or required by the accountant / purchasing officer / director of Finance.
General Cashier (10%)
1. Prepares and consolidates the hotel's daily deposit and ensures accurate and timely banking of daily banking.
2. Audit hotel's daily deposit and produce a 'General Cashier Summary' detailing all deposits and any discrepancies by individual cashier.
3. Issues and monitors all hotel cashier floats, including the maintenance of a complete and update file of all outstanding bank contracts. Ensuring the collection of all terminated and unused floats.
4. Perform an audit of all cashier and manager's floats monthly and issue a note indicating the 'statuses of the float (e.g., over/short).
5. Responsible for reviewing and paying all petty cash vouchers. All vouchers to be consolidated on a fortnightly basis and submitted to accounts payable for reimbursement.
6. Prepares foreign currency deposit and updates exchange rates weekly.
7. Maintains all safe deposit boxes. Under no circumstances should the General Cashier open any associates float without the presence of a witness.
8. Follow all SOP's and LSOP's pertaining to the General Cashier and cash handling.
9. Ensures that the General Cashiers office is restricted to all personnel except authorised accounting personnel.
10. Assist in other general accounting functions as needed or required by the Accountant / Director of Finance.
Income Audit (30%)
1. All revenue voids, rebate, returns an