Bookkeeper- DoubleTree by Hilton Battle Creek
Company: Double Tree by Hilton - Battle Creek, Michigan
Location: Battle Creek
Posted on: February 19, 2026
|
|
|
Job Description:
Job Description Job Description 6PM Hospitality is seeking
positive, forward-thinking individuals to join our team at the
newly-renovated DoubleTree by Hilton in Battle Creek, MI. 6PM
Hospitality consists of a team of hospitality experts who draw upon
decades of experience to make everything from the front desk to the
back office achieve a standard of excellence. We partner with
property owners, brands, investors and financial institutions to
transform short stays into unforgettable experiences, and turn
investments into solid returns. Come be a part of our excellence
driven team! Position Summary : You will be integral to our
financial and inventory management processes including: balancing
daily financial transactions, cash deposits, processing accounts
payable and receivable and inventory tracking. As the accounting
clerk you will be responsible for maintaining accurate financial
records, managing daily cash flows, and ensuring compliance with
accounting standards. This role requires a strong work ethic,
detail oriented, proficiency in accounting and inventory
management, and a commitment to accuracy and efficiency.
Responsibilities: Below is a list of typical responsibilities,
these may change over time and are not inclusive of this position:
Cash Management Cash Counting and Till Preparation: Count and
verify cash in multiple cash drawers at the beginning and end of
shifts, ensuring all amounts are accurate and that there is
adequate change available for each day. Daily Till Preparation and
Distribution: Prepare and organize tills for multiple locations
across the property, ensuring each location has appropriate funds
and provide change as necessary. Deposit Drops: Perform and
document daily cash drops, ensuring secure handling and transport
of all deposits to the bank. Daily Audit: Perform and document
daily audit balancing of revenues and payments for hotel rooms and
Food & Beverage outlets in M3 reporting system. Safe Management:
Regularly count and verify cash amounts in the safe as well as
banks across the property. Financial Management and Reporting
Transaction Management: Manage all financial transactions,
including accounts payable and receivable, ensuring transactions
are recorded accurately and in a timely manner. Account
Reconciliation: Reconcile accounts and resolve any discrepancies
with high attention to detail, preparing month-end reconciliations
and other periodic adjustments as needed. Budget and Expense
Monitoring: Track and monitor budgets, assisting with financial
analysis and budget adjustments as necessary to achieve financial
goals. Reporting: Prepare and present financial reports, including
inventory summaries, and other financial documents for management
review. Inventory and Goods Receiving Inventory Tracking and
Management: Maintain comprehensive records of all inventory.
Working with department managers to oversee the receiving and
storage of goods to ensure accuracy. Auditing and Compliance:
Conduct regular audits of inventory and financial records, ensuring
compliance with company policies and accounting regulations. Vendor
Communication and Discrepancy Resolution: Communicate with vendors
and suppliers to resolve discrepancies promptly and maintain
healthy vendor relationships. Policy Adherence and Procedure
Development Policy Compliance: Adhere to all financial policies,
procedures, and regulations, ensuring all practices are aligned
with corporate and industry standards. Procedure Development and
Implementation: Regularly review and refine cash handling,
inventory, and financial management procedures, implementing
updates as needed to improve efficiency and accuracy. Local Cash
Handling Control Management: Maintain strong internal controls for
payment collections, safeguarding against loss and ensuring
compliance with cash handling policies. Employee Training and
Support Cross-Departmental Support: Provide guidance and support to
other departments, assisting them with transaction recording, cash
handling, and budget management as necessary. Additional
responsibilities: Month-End and Year-End Closeouts: Complete all
month-end and year-end accounting closeout tasks, including
reconciliations and adjustments to ensure accuracy in financial
reporting. Credit Card Discrepancy Management: Assist with research
and resolution of credit card discrepancies, coordinating with
departments and vendors as needed. Education and Experience: A
degree in Accounting, Finance, Business, or a related field is
preferred, along with experience in accounting and/or bookkeeping
within a hospitality environment. Formal Education and Job-Related
Experience: Required related experience includes: 5 years of
accounting, front desk/night audit, auditing, cash handling or
other hospitality discipline. Technical Proficiency: Familiarity
with accounting software, inventory management systems, and strong
proficiency in Microsoft Excel and other spreadsheet applications.
Organizational Skills: Exceptional organizational and time
management skills, with the ability to prioritize tasks effectively
in a dynamic, fast-paced environment. Detail-Oriented: A keen eye
for accuracy and attention to detail, especially in reconciling
accounts and handling cash transactions. Communication Skills:
Excellent verbal and written communication skills, with the ability
to work well with internal and external stakeholders, including
vendors and suppliers. Problem-Solving Skills: Strong analytical
and problem-solving skills, especially in managing discrepancies
and resolving accounting or inventory issues. Employee Benefits
Paid time off for all full-time and part-time team members 8 hours
of paid volunteer paid for all team members Holiday pay Travel
discounts for employees, friends, & family Restaurant discounts
Referral Program Health, vision, and dental insurance available for
all full-time team members Employee recognition perks and benefits
Advancement opportunities Paid maternity/paternity leave or
adoption leave for qualifying FMLA Apply today to become part of an
authentic, excellence-driven team!
Keywords: Double Tree by Hilton - Battle Creek, Michigan, Lansing , Bookkeeper- DoubleTree by Hilton Battle Creek, Accounting, Auditing , Battle Creek, Michigan