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Accor Hotels in India seeks a finance professional to support month-end close, prepare journals, and reconcile ledgers such as advances, vacations, indemnity, and accrued salaries. You will count and verify daily cash deposits, deposit promptly, and resolve discrepancies with banks, while maintaining high cash handling standards.
Additionally, you will disburse petty expenses per hotel policies, participate in float audits with the income auditor, and assist cashiers as needed.