Corporate Centralized Controller

Legacy Ventures HotelsAtlanta, GA
Onsite

About The Position

Accurately documents and reports revenue and expenses while safeguarding all hotel assets and maintaining a sound internal control environment as a centralized accounting specialist. The duties and responsibilities may be handled by others with the ultimate responsibility residing with this role. TIME ALLOCATION: 85% to assigned hotels; 15% Corporate projects or other tasks.

Requirements

  • Must possess good Microsoft Office skills, PMS & POS experience an asset.
  • Demonstrates ability to perform multiple tasks in a busy environment and remain flexible.
  • Demonstrates excellent communication skills, both written and verbal.
  • Must possess excellent time management skills.
  • Ability to read and comprehend simple instructions, short correspondence, and memos.
  • Ability to write simple correspondence.
  • Ability to effectively present information in one-on-one and small group situations to customers, clients, and other associates of the organization.
  • Ability to add, subtract, multiply, and divide in all units of measure, using whole numbers, common fractions, and decimals.
  • Ability to compute rate, ratio, and percent and to draw and interpret bar graphs.
  • Ability to apply commonsense understanding to carry out instructions furnished in written, oral, or diagram form.
  • Ability to deal with problems involving several concrete variables in standardized situations.
  • Must have a flexible schedule and ability to workdays, evenings or nights any day of the week, including weekends and holidays.
  • Must have exceptional customer service skills
  • Prior supervisory experience
  • Ability to work well in a team environment
  • A four-year college degree or equivalent educational experience; three (3) of more years of experience working in a hotel environment, preferably in the accounting function; or equivalent combination of education and experience; minimum one year of experience as a multi-property or complex accounting manager, or similar role.

Nice To Haves

  • PMS & POS experience an asset.

Responsibilities

  • Collect/Audit paperwork from all revenue centers in the hotel ensuring accuracy and compliance with company internal controls and local hotel polices.
  • Provide daily cash and change requirements for the hotel.
  • Maintain and disperse cash from house fund safe and petty cash fund, account for all disbursements from funds and perform daily house bank count.
  • Enter cash drops from the cashier envelopes and determine depositor's overage or shortage, if any and balance to the revenue report the following: cash folio, F&B tips, and paid outs.
  • Prepare daily bank deposit, process bank change orders, and count the General Cash bank each day and maintain an accurate record of such
  • Monitor and record all house account meals and entertainment expenses and report any non-compliance
  • Prepare reports such as petty cash reports, over and short reports, General Cashier reports, cash management reports and/or other reports as needed.
  • Oversee accounts receivable to include billing, coordination of accurately applied payments and aging management.
  • Evaluate requests of hotel guests to be granting of credit/direct-bill privileges; Make recommendations to hotel General Manager and Corporate Director of Accounting Operations.
  • Process accounts payable invoices in accordance with company policy, system resources and timelines.
  • Obtain approvals from department heads on invoices to be paid; reconcile discrepancies with vendors; matching and filing invoices and paperwork; prepare transmittal of invoices for payment by Legacy Hotel Partners, LLC.
  • Process check requests and refund checks.
  • Record journal entries in the accounting general ledger as needed
  • Work with Corporate Director of Accounting Operations to provide the month end reporting in a timely and accurate manner, typically with deadlines of one to five business days after the end of the month depending on the nature of the reporting.
  • Works with the hotel management team and the Corporate Director of Accounting Operations to review, update and final close of the P&L and B/S statement and any related reporting by the 15th of the following month.
  • Lead and assist in the maintenance of the hotel checkbook and labor standards to ensure timely and accurate processing and proper control of spending.
  • Prepare and submit information used to assist in the timely completion of monthly bank reconciliations.
  • Complete monthly balance sheet reconciliations after each month-end for use during financial review meetings
  • Prepare and submit information used to assist in the timely filing of monthly hotel sales and use taxes collected from guests and due to agencies.
  • Involved with the development of annual hotel budgets, monthly forecasts, and other recurring financial reporting requirements of the hotel to ensure the hotel achieves it budgeted goals.
  • Assist in the accounting office with other areas as required such as handling billing inquires on the telephone and administrative tasks.
  • Supervises accounting managers/accounting assistants/clerks at each hotel who assist with the above responsibilities.
  • Promote teamwork and quality service through daily communication and coordination with other departments.
  • Interacts with internal and external customers in a positive, professional, and accommodating manner.
  • Assist with corporate projects including new platform initiatives, trainings, and/or hotel transitions.
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