Chief Financial Officer - London, United Kingdom - Tudor Hotels Headquarters

Tudor Hotels Headquarters
Tudor Hotels Headquarters
Verified Company
London, United Kingdom

3 weeks ago

Tom O´Connor

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Tom O´Connor

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Description

Tudor Hotels are committed to carefully developing a sustainable collection of luxury hotels and experiences that respect our core values: Luxury.

History. England.

Preserving history to create a high social impact and unique legacy everywhere we operate and simultaneously pushing the boundaries of sustainable, low-carbon tourism.


Our mission is to truly entertain our guests, not just give them a luxurious place to sleep and the best fine dining, but to give them stories to tell, experiences to remember and knowledge to share.


As we continue to build our iconic team for this incredible business, we are looking out for a unique talent to join our team as Chief Financial Officer.

If you are resilient, enthusiastic and dedicated with a desire to be part of something amazing then we would love to hear from you.

Our whole business relies on the enablement and trust of our team so that we build a place we are all proud of with an experience that is truly luxury.

The Chief Financial Officer (CFO) will provide overall financial management of the group to ensure its financial well-being.

They will be responsible for achieving budgets at each group property and overall, financial systems, processes and controls, IT systems and policies, tax reporting, and annual audit reporting as well as implementing ownership and responsibility for the target budget by managers onsite and supervising and tracking progress.


Key Responsibilities:

  • Provide overall financial management of the group in conjunction with the current external accounting provider.
  • Achieve budgets at each group property and overall.
  • Develop and implement financial systems, processes, and controls to improve efficiencies and withstand an audit from any official parties.
  • Prepare and oversee the group and individual property budgets for the year
  • Undertake and document a risk assessment of key cost centers and recommend and implement appropriate efficiencies.
  • Implement key financial controls per site in a group standardized format
  • Work with HR to implement efficiencies and minimize any losses to achieve group budget on payroll cost targets.
  • Forecast cash flow monthly ensuring any unforeseen shortfalls are brought to the attention of the Board.
  • Review contracts to ensure they are "fit for purpose" and value for money.
  • Take responsibility for the management and oversight of team members under your supervision.

Qualifications:

  • Bachelor's degree in accounting, finance, or a related field
  • Minimum of 8 years of experience in a senior finance role,
  • Proven track record of achieving budgets and improving financial efficiencies,
  • Strong knowledge of financial systems, processes, and controls,
  • Experience with tax reporting and audit reporting,
  • Experience in forecasting cash flow and overseeing budgets,
  • Excellent communication and interpersonal skills,
  • Strong leadership and management skills,
  • Strong analytical and problemsolving skills,
  • Ability to work independently and as part of a team.

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