Managing accounts receivable and accounts payable
Creating and maintaining financial reports, such as profit and loss statements, balance sheets, and cash flow statements
Reconciling bank statements and ensuring that all transactions are recorded correctly
Preparing budgets and forecasting financial performance
Ensuring compliance with accounting regulations and hotel policies
Analyzing financial data and making recommendations for improvement
Managing payroll and employee benefits
Assisting with the preparation of tax returns and other financial documents.

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How to Apply: Email: hrleena04@gmail.com

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