Sandman Hotel Group
Vancouver, British Columbia, Canada
5d ago


Northland Real Estate Properties (UK) Limited is family run Construction and Hospitality business. We currently own and operate three Sandman Signature Hotels and several Bars and Restaurants in England and Scotland.

We are ambitious in our growth plan with several development properties in our pipeline already secured.


Reporting to the Financial Director, the Accountant is responsible for the day-to-day management of the regional account's office for all 3 hotels in the UK

The Successful Applicant

  • Enquiring mind with a strong aptitude for complete and accurate detail
  • Ability to be a Leader, with strong communication and interpersonal skills.
  • Ability to work efficiently in a fast-paced environment - both individually and as a Team player
  • Good IT skills, preferably with Property Management System, Point of Sale, Accounting and Microsoft products
  • Thinks "solutions not problems."
  • Previous Hotel (or similar) experience preferable but not essential
  • Accountant (full / part-qualified) or Accounting Technician, with a recognised professional accounting body
  • Specific Duties Include :

  • Managing key Systems and Controls to promote a strong business culture.
  • Producing, analysing, and distributing management information timeously and including various reports
  • Managing Bank accounts & Cash and ensuring it is correctly controlled and reconciled.
  • Managing the Purchasing / Payables cycle, including ensuring correct authorisation, receiving, storage and usage processes are in place - and that payments are carried out expediently.
  • Managing the Receivables cycle, including ensuring the accuracy and completeness of invoicing and timely and efficient receipt of outstanding amounts.
  • Preparing of payroll including the time management system, on sage and wage cost reports -
  • Responsible for posting transactions to Ledgers and bringing to Trial Balance stage
  • Preparation of monthly Profit & Loss, Balance Sheet, and cash flow.
  • Analysing and reconciling all Balance Sheets accounts, including Bank, Debtors, Stock, Creditors, Intercompany, Accruals, PAYE, and VAT
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