Shape the financial success of our hotel group in the DACH region together with us.
We are looking for a committed, structured, and analytically strong individual to oversee and further develop our financial processes in Germany and Austria.
As we operate in a hybrid model, regular on-site presence (2–3 days per week) is required. Please only apply if our location is easily accessible for you.
Job Description
Your Responsibilities – Diverse and Cross-Border
Financial Reporting & Control
Preparation of consolidated monthly, quarterly, and annual financial statements (according to HGB and IFRS)
Coordination and maintenance of month-end closing, including inventory and accrual schedules
Variance analyses, forecasts, performance reports, and special calculations
Intercompany reconciliations, accounts receivable management, bank and payment reconciliations
Point of contact for Treasury, Accounting, and external business partners
Budgeting, Forecasting & Controlling
Budget planning and preparation in cooperation with hotels and departments
Independent budgeting of all non-operational cost items (e.g. leases, utilities)
Controlling of P&L variances as well as energy and service contracts
Structured maintenance of financial and payment calendars
Audits, Compliance & Tax
Support for internal and external audits, including on-site visits
Ensuring legal and tax compliance in both Germany and Austria
Responsibility for compliance with local accommodation tax regulations
Collaboration with external tax advisors and auditors
Stakeholder Management & Communication
Primary contact for internal and external finance and tax-related matters
Interface to hotels, HQ, accounting partners, service providers, and owners
Support with PMS migrations, RUN processes, and portfolio transitions
- ️ Process Management & Optimization
Optimization of month-end closing, reporting, and payment processes
Ensuring timely and high-quality financial procedures
Strategic Financial Management
Support for M&A projects and contractual aspects of asset management
Preparation and analysis of financial KPIs to support decision-making
Administration & Organization
Conducting hotel visits and coordinating with accounting service providers
Participation in cross-functional projects and ad-hoc meetings
Qualifications
Completed degree in business administration with a focus on finance, accounting, or controllingIn-depth knowledge of German and Austrian accounting and tax regulations (HGB & IFRS)
Several years of experience in a comparable role, ideally in the hospitality industry or a multi-entity environment
Confident handling of complex financial structures, reporting formats, and SAP-like systems
Excellent verbal and written communication skills in both German and English
Strong communication skills, initiative, and a structured working style
Willingness to travel occasionally
Additional Information
In addition to a great and motivated team, we offer you:
Fair compensation
Flat hierarchies and short decision-making processes
Opportunities for professional and personal development
Employee benefits such as “Refer a Friend” programs, discounted hotel rates for staff, and access to corporate benefits