Direct the financial operations of the Company to ensure the security of Company assets. Report to
GMs and owners on financial state of Company and make recommendations to improve Company
profitability. Serve as primary contact for all Company financial- and accounting-related issues with
owners, auditors (internal and external) and regulatory agencies.
DUTIES AND RESPONSIBILITIES
FINANCIAL RETURNS:
? Use financial analysis, data trends and market information to anticipate needs, identify
operating/financial issues, and recommend actions to maximize financial return.
? Create the annual operating budget for the property and provide analytical support during budget
reviews to identify cost-saving and productivity opportunities for department heads.
? Analyze ROI for capital projects prior to committing funds and, upon completion, determine if
anticipated results were achieved.
? Maximize cash flow performance of the Company through controls on inventory (avoid excessive
supply), credit and collection, disbursements, deposits and remittances.
? Review rates and recommend rate strategy to the General Manager; participate in sales strategy
meetings
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