Chase Park Plaza Staff Accountant

Sonesta International Hotels CorporationSt Louis, MO
Onsite

About The Position

The Staff Accountant is responsible for monitoring general accounting practices and implementing internal accounting controls. This position is responsible for maintaining practices and procedures to ensure accurate and timely financial statements. This position addresses tight deadlines and a multitude of accounting activities including general ledger preparation, financial reporting and audit preparation.

Requirements

  • Monitoring general accounting practices
  • Implementing internal accounting controls
  • Maintaining practices and procedures to ensure accurate and timely financial statements
  • Addressing tight deadlines
  • General ledger preparation
  • Financial reporting
  • Audit preparation
  • Reconciliation of vendor statements
  • Generating monthly and weekly reports
  • Preparation and reconciliation of hotel taxes
  • Performing cashier audits
  • Preparing Hotel, Commercial and HOA Cash Deposits
  • Preparing payroll reports and tips and gratuity calculations
  • Reconciling credit card transactions across the entities
  • Preparing daily PMS vs POS reconciliation
  • Tracking and submitting travel pass reporting
  • Audit package accounting
  • Reviewing income journal for accuracy
  • Preparing Adjustments and Discounts package for senior management
  • Ensuring the accurate and timely processing of transactions
  • Ensuring the monthly and quarterly bank activities are performed in a timely and accurate manner
  • Supporting budget and forecasting activities
  • Responding to inquiries from Senior Management regarding financial results, and special reporting requests
  • Assisting in the development and implementation of new procedures and features to enhance the workflow of the department
  • Supporting with special projects and workflow process improvements

Responsibilities

  • Overall responsibility of Accounting for Hotel, leased space, corporate apartments and condo units.
  • Respond to Disputes and Chargebacks timely
  • Assist with vendor inquiries and reconciliation of vendor statements
  • Generate monthly and weekly reports.
  • Preparation and reconciliation of hotel taxes
  • Perform cashier audits
  • Prepare Hotel, Commercial and HOA Cash Deposits
  • Prepare payroll reports and tips and gratuity calculations
  • Reconcile credit card transactions across the entities
  • Prepare daily PMS vs POS reconciliation
  • Track and submit travel pass reporting
  • Audit package accounting
  • Review income journal for accuracy
  • Prepare Adjustments and Discounts package for senior management
  • Ensure the accurate and timely processing of transactions.
  • Ensure the monthly and quarterly bank activities are performed in a timely and accurate manner.
  • Supports budget and forecasting activities.
  • Responds to inquiries from Senior Management regarding financial results, and special reporting requests.
  • Assist in development and implementation of new procedures and features to enhance the workflow of the department.
  • Support with special projects and workflow process improvements.

Benefits

  • Medical, Dental and Vision Insurance
  • Health Savings Account with Company Match
  • 401(k) Retirement Plan with Company Match
  • Paid Vacation and Sick Days
  • Sonesta Hotel Discounts
  • Educational Assistance
  • Paid Parental Leave
  • Company Paid Life Insurance
  • Company Paid Short Term and Long Term Disability Insurance
  • Various Employee Perks and Discounts
  • Hospital Indemnity
  • Critical Illness Insurance
  • Accident Insurance
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