Accounting and Receiving Manager

EOS HospitalityBrooklyn, NY
38d

About The Position

The ideal Accounting and Receiving Manager candidate is an experienced, high-energy and empowered individual who will proactively provide constant support and guidance to the property.

Requirements

  • Excellent communication and organization skills.
  • Must be able to lift 25lbs - 50lbs with frequent lifting and/or carrying of objects.
  • Must have the ability to walk, stand and bend continuously throughout the day.
  • Must be able to recognize potential safety hazards and security problems in the hotel and act upon each accordingly.
  • Some college level study in Accounting or Finance or relevant on the job experience; specific experience in accounts payable is a major plus
  • Basic understanding of standard accounts payable principles
  • Working and technical knowledge of Microsoft Office Products. Intermediate to advanced Excel skills
  • Strong attention to detail and accuracy; prioritize and plan work effectively and efficiently.
  • Must be able to effectively communicate both verbally and written, with all level of Colleagues in an attentive, friendly, courteous and service-oriented manner.
  • Ability to support excellent Vendor relationships
  • Strong data entry skills

Nice To Haves

  • Experience in Acumatica, ProfitSword software, HMS, and Birchstreet system a plus.

Responsibilities

  • Organize and categorize all incoming invoices for efficient processing.
  • Collaborate with department heads to reconcile invoices, ensuring:
  • Correct amounts are billed by vendors.
  • All charges represent authorized and legitimate purchases with appropriate backup documentation.
  • Identify ongoing invoiced goods and services not yet recorded in AP at month-end to support accrual reporting.
  • Assist with month-end closing activities, including but not limited to ensuring all purchase orders for the period have been received.
  • Verify that invoices are properly coded and posted to the correct cost center or general ledger account within the accounting system.
  • Research and resolve vendor inquiries, discrepancies, and payment-related issues.
  • Perform weekly reconciliations of vendor statements and address both vendor and internal inquiries promptly.
  • Verify the accuracy of Use Tax on applicable invoices.
  • Maintain organized filing systems for AP invoices, vendor documentation, and contracts.
  • Participate in month-end account reconciliations and prepare required audit documentation.
  • Manage and update COI records as needed.
  • Receive, onload and unpack deliveries.
  • Carefully inspect items being delivered for damage and check packing slip/invoice against purchase order for accuracy and completeness.
  • Record receiving data accurately in company's procurement system.
  • Organizing and storing received items in warehouse and monitor inventory levels.
  • Log received deliveries daily and notify departments via email.
  • Handle ad hoc tasks and special projects as assigned to support team and organizational objectives.
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