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Assistant Director of Finance

Job in Napa, Napa County, California, 94559, USA
Listing for: Stanly Ranch, Auberge Collection
Full Time position
Listed on 2025-12-02
Job specializations:
  • Finance & Banking
    Financial Reporting, Financial Manager, Financial Analyst
Job Description & How to Apply Below

Company Description

A private Napa Ranch cultivating the future of wellbeing. Stanly Ranch - a land that was established with legacy in mind and furthers its progression now with enlightened 21st century ideals. A vanguard in the movement toward holistic wellbeing, Stanly Ranch empowers an immersive agricultural experience intended to not only revitalize those lucky enough to visit, but to leave them transformed.

Guests, owners, and locals alike will be captivated by an active and engaged private ranch lifestyle uniquely curated to nourish the mind, body, and soul through a rare connection to the land and its bounty.

Job Description

Transform numbers and ensure our financial story is not just blanched but enchanting! With a sharp analytical mindset and a commitment to financial integrity, this role will work collaboratively to drive financial growth, streamline processes, and provide strategic insights.

Key Responsibilities
  • Craft and implement innovative financial strategies that propel the organization toward sustainable growth, orchestrating a symphony of budgets, forecasts, and financial plans.
  • Ensure all financial activities adhere to legal standards and oversee the preparation of accurate and timely financial reports.
  • Collaborate with department heads to create and manage budgets, while fine‑tuning the financial instruments to ensure optimal resource allocation.
  • Identify and mitigate financial risks through a combination of foresight and financial acumen, safeguarding the organization against potential pitfalls and uncertainties.
  • Inspire and guide a team of financial professionals, nurturing their growth, and fostering a positive and collaborative financial environment that contributes to the overall success of the organization.
Daily Responsibilities
  • Supervises the accounting team and assigns daily tasks and projects.
  • Performs the revenue audit and ensures correctness and completeness of the daily income journal.
  • Prepares accurate and timely revenue, labor, and cost of sales reports.
  • Reconciles the cash deposits from the PMS/POS. Prepares the daily bank deposit and posts cashier over and short.
  • Reviews the accuracy and appropriate authorization of revenue adjustments, paid‑out vouchers, and complimentary F&B services. Collaborates with operations management to ensure compliance with the financial policies and procedures.
  • Reviews and approves invoices for payment. Verifies compliance with purchasing and receiving controls, G/L coding account distribution, and accrued sales tax.
  • Timely and accurate deposits of all cash, check, and credit card receipts.
  • Reviews and approves all petty cash purchases. Verifies accuracy of charges and completeness of proper approval and receipt.
Weekly/Bi‑Weekly Responsibilities
  • Processes travel agent commission payments. Reviews and approves group commission requests. Validates online travel agency commission invoices by sample testing guest commissions.
  • Schedules and monitors hours worked for Accounting department employees.
  • Reconciles and approves service charges, commissions, and gratuities for payroll processing.
  • Reviews and posts the payroll journal entry.
  • Meets with hotel leaders to review expense commitments against forecast and budget.
Monthly Responsibilities
  • Manages the month‑end financial closing process and ensures the closing achieves objectives and deadlines.
  • Prepares month‑end adjusting journal entries.
  • Ensures journal entries are accurately prepared and posted to the general ledger system.
  • Ensures physical inventories are scheduled and taken for food, beverage, operating equipment, and other operating supplies per company policies.
  • Prepares and distributes preliminary financial statements and general ledger to the hotel leadership team. Analyses the profit and loss statement against budget and forecast and identifies and documents the variance causes.
  • Reconciles the calculated indirect tax liability against the amounts collected with revenues and investigates any variances. Collaborates with the operations leadership to modify procedures or system configurations to efficiently and accurately collect indirect taxes.
  • Prepares the indirect tax returns and remits payments…
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