Job Responsibilities:
- Oversee group billing and collection across multiple property management systems (PMS) inclusive on group deposit collections and credit application management
- Assist with producing monthly financial packages for 3rd party hotel owners
- Daily and monthly balance sheet reconciliations
- Guest ledger and system maintenance across multiple PMS systems
- Communicate with hospitality field operators on a regular basis to gather information and provide insight on financial results and market trends
- Liaison with 3rd party owners and Vail Resort’s shared service center relating to ad hoc requests and problem resolution
- Month-end closing journal entries as necessary
- Ad hoc analysis of the managed properties results and key trends as requests by the Senior Manager of 3rdParty Financial Shared Services
- Other duties as assigned
Job Requirements:
- 2-3 years of Finance and/or Accounting experience
- Bachelor’s degree in Finance or Accounting – Preferred
- Previous exposure to budget and forecasting processes
- Experience and/or exposure to balance sheet reconciliations
- Exceptional attention to detail
- Proficiency in Microsoft Excel
- Excellent guest service skills
- Must be able to read, write, speak, and understand English
- Previous experience using Property Management software, preferably LightSpeed
- Marriott experience preferred
- PeopleSoft experience