Finance Team Member – On Property (AP/AR) | Earned Wages

Splendid Hospitality Group

Greater London

On-site

GBP 29,000 - 36,000

Full time

10 days ago
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Benefits offered by this job

Employee Assistance Programme
Hotel room discounts
Food & beverage discounts
Life assurance
Pension auto enrolment
Learning & development

Job summary

Splendid Hospitality Group, Hilton London Bankside, is seeking a Finance Team Member to join the on-site Finance - On Property team. You will contribute to day-to-day processing of accounts payable and receivable, and ensure revenues and cash banking are accurately accounted.

The role involves assisting with month-end, reconciliations, and maintaining controls, with a focus on accuracy, compliance, and collaboration across departments. Full-time position with a competitive compensation package.

Qualifications

  • Open - you bring warmth to your work and help create a welcoming environment.
  • Nimble - you solve problems quickly and creatively.
  • Brilliant - you bring energy, creativity, and a can-do attitude.
  • Honest - you value transparency and ownership.

Responsibilities

  • Process invoices and payments – Manage AP/AC inboxes, match invoices to POs/delivery notes, ensure correct VAT, prepare BACS and direct debit payments.
  • Manage supplier accounts – Respond to queries, reconcile statements, manage credit notes, maintain records of supplier transactions.
  • Support financial reporting – Reconcile aged creditors, prepare accruals and balance sheet schedules, assist with audits and month-end processes.
  • Maintain compliance and controls – Adhere to PO procedures, maintain filing systems, support inventory and expense reporting.
  • Reconcile daily hotel and F&B revenues, payments, discounts, and banking; investigate discrepancies and post to systems.
  • Oversee daily cash handling, banking, petty cash, floats, FX, and reconciliations; ensure controls to safeguard assets.

Job description

Splendid Hospitality Group, Hilton London Bankside, is seeking a Finance Team Member to join the on-site Finance - On Property team. You will contribute to day-to-day processing of accounts payable and receivable, and ensure revenues and cash banking are accurately accounted.

The role involves assisting with month-end, reconciliations, and maintaining controls, with a focus on accuracy, compliance, and collaboration across departments. Full-time position with a competitive compensation package.

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