Administrative Support Worker Lead

AramarkWashington, DC
Onsite

About The Position

The Premium Account Specialist is responsible for the financial administration of the Suites & Catering business, with a primary focus on accounts receivable, collections, payment reconciliation, and account management. This role ensures the timely collection of outstanding balances, accurate reconciliation of event revenue, and compliance with company financial policies while providing exceptional customer service to premium suite holders and catering clients. Working closely with Sales, Finance, and Operations team the Premium Account Specialist ensures all premium hospitality events are financially accurate from contract through final payment, supporting operational efficiency and revenue integrity.

Requirements

  • Strong understanding of accounts receivable, collections, and financial reconciliation processes.
  • Excellent analytical and problem-solving skills.
  • High attention to detail with strong organizational abilities.
  • Ability to prioritize multiple deadlines in a fast-paced, event-driven environment.
  • Strong customer service and conflict-resolution skills.
  • Professional written and verbal communication skills.
  • Ability to maintain confidentiality and handle sensitive financial information.
  • Ability to collaborate effectively across multiple departments.
  • Microsoft Excel, Outlook, Word, and Teams
  • Event management software (TapIn2 preferred)
  • Financial reporting and accounting systems
  • Payment processing platforms (Converge)
  • Shared file management systems
  • Aramark financial policies and internal controls
  • Documentation retention requirements
  • Confidentiality and data privacy standards
  • Workplace safety procedures
  • Brand and hospitality standards
  • Ethical business practices and equal employment opportunity policies

Nice To Haves

  • TapIn2 (event management software)

Responsibilities

  • Manage accounts receivable for premium suites, catering, and hospitality events.
  • Monitor outstanding balances and proactively communicate with clients regarding payment deadlines.
  • Initiate collection efforts on delinquent accounts while maintaining positive client relationships.
  • Process and track deposits, pre-authorizations, and final event payments.
  • Ensure timely collection of all event-related revenue.
  • Consult on aging reports and provide recommendations for collection strategies.
  • Escalate unresolved payment issues in accordance with company policies.
  • Reconcile event revenue against contracts, Banquet Event Orders (BEOs), invoices, and client payments.
  • Verify pricing, menu selections, service charges, taxes, and event modifications for billing accuracy.
  • Investigate and resolve payment discrepancies, billing errors, and account variances.
  • Process billing adjustments, credits, and refunds as needed.
  • Complete post-event financial reconciliation within established timelines.
  • Maintain accurate financial records and supporting documentation.
  • Serve as the financial point of contact for premium suite holders and catering clients.
  • Respond promptly to billing inquiries and payment questions.
  • Educate clients on payment policies, deadlines, and billing procedures.
  • Maintain accurate client account records and payment histories.
  • Support premium client retention through professional, responsive service.
  • Review contracts and event documentation for billing accuracy.
  • Prepare invoices for premium suites and catering events.
  • Coordinate with Sales Administrators to ensure event changes are reflected in final billing.
  • Verify all event charges prior to invoice distribution.
  • Ensure all financial documentation is complete before event closeout.
  • Prepare daily, weekly, and monthly accounts receivable reports.
  • Generate aging reports with payment status summaries.
  • Assist with month-end and year-end financial closing activities.
  • Maintain compliance with Aramark financial policies, documentation standards, and internal controls.
  • Ensure confidentiality of all client and financial information.
  • Partner with Catering Sales, Suite Sales, Finance, and internal stakeholder teams to ensure financial accuracy.
  • Communicate payment status and account updates to internal stakeholders.
  • Support process improvements that increase billing efficiency and reduce reconciliation errors.
  • Assist with audits and financial reporting requests.

Benefits

  • Equal employment opportunity
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