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A luxury resort in Ras Al Khaimah is looking for a Store Supervisor to manage beverage store operations and inventory management. You'll coordinate receiving and procurement, assist with accounts payable, and support finance during month-end closing. The ideal candidate will have a degree in Accounting or Finance and 2-4 years of relevant experience in hotel finance, with strong knowledge of inventory processes. This role emphasizes meticulous organization and attention to detail, ensuring compliance and effective operations.
Full-time
Company Location: Anantara Mina Al Arab Ras Al Khaimah Resort
Escape to Ras Al Khaimah for beach, desert, and mountain adventures. The northernmost emirate of the UAE, Ras Al Khaimah enjoys a more tranquil rhythm, yet is only 45 minutes from Dubai. Anantara Mina Al Arab Ras Al Khaimah Resort offers overwater luxury on the Arabian Gulf in a pristine eco-sanctuary.
Nature lovers will relish the open terrain of Ras Al Khaimah. From balmy waters to golden shorelines to rugged desert, adventure abounds. Charter a yacht and sail off into the sunset. Ride across rolling dunes and conquer the mountain peak of Jebel Jais.
Stores & Inventory Support
Supervise and manage beverage store operations and inventory movements. Maintain accurate stock records, documentation, and compliance with hotel procedures.
Receiving & Procurement Coordination
Act as a reliever for the Receiving Officer when required. Ensure proper receiving controls, GRN processing, HACCP requirements and reconciliation with Purchase Orders and invoices.
Cost Control & F&B Support
Support the Cost Control function through daily food & beverage cost tracking and monitoring stock usage. Assist in preparation of cost reports, inventory counts, and variance analysis.
Accounts Payable Assistance
Support the Accounts Payable process including invoice verification and document matching (LPO/GRN). Ensure supplier documentation is complete and compliant with internal controls.
Month-End & Finance Coordination
Work closely with the Chief Accountant during month-end closing, reconciliations, and reporting support. Assist with finance schedules and operational accounting requirements as assigned.