Multi-Property Hotel GL Accountant – Close & Reconciliations

ALH Corporate

Houston (TX)

On-site

USD 60,000 - 90,000

Full time

14 days+
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Job summary

ALH Corporate in Houston is seeking a Corporate GL Accountant to maintain accurate general ledger records for multiple entities, manage monthly close processes, and support audits. This role collaborates with property-level and corporate accounting teams to ensure timely and accurate reporting.

The position involves preparing journal entries, bank reconciliations, tax filings, fixed asset accounting, and mentoring the A/P team as needed.

Qualifications

  • Hotel accounting experience preferred.
  • Accounting degree preferred.
  • High school diploma or equivalent required.
  • Strong time management and attention to detail.
  • Ability to work collaboratively with internal and external customers.
  • Must be computer literate and able to meet deadlines.

Responsibilities

  • Prepare monthly financials for multiple hotel properties.
  • Review and process property Income journals daily.
  • Bank Reconciliations for multiple hotel properties.
  • Review and reconcile Hotel A/Rs.
  • Prepare and file sales and use and occupancy tax returns for properties as needed.
  • Prepare and maintain BS GL account reconciliations.
  • Work with property level personnel to resolve hotel accounting matters as needed.
  • Responsible for timely and accurate work production.
  • Train and support the A/P team as needed.
  • Manage fixed asset accounting.
  • Other duties as assigned.

Skills

Time management
Detail oriented
Teamwork
Problem solving
Deadline orientation
Communication

Education

Accounting degree
High school diploma

Job description

ALH Corporate in Houston is seeking a Corporate GL Accountant to maintain accurate general ledger records for multiple entities, manage monthly close processes, and support audits. This role collaborates with property-level and corporate accounting teams to ensure timely and accurate reporting.

The position involves preparing journal entries, bank reconciliations, tax filings, fixed asset accounting, and mentoring the A/P team as needed.

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