Payroll and Finance Coordinator
Listed on 2026-07-26
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Accounting
Accounts Receivable/ Collections, Financial Reporting, Payroll, Bookkeeper/ Accounting Clerk -
Finance & Banking
Accounts Receivable/ Collections, Financial Reporting, Payroll, Bookkeeper/ Accounting Clerk
The Oxford Collection is a small, privately owned group of two luxury 5
* hotels and apartments, three restaurants that consists of the Old Bank Hotel, the Old Parsonage Hotel, 36 St Giles, Parsonage Grill, Gees Restaurant & Bar, and Quod Restaurant & Bar. We have 80 bedrooms across three iconic properties in central Oxford, with unrivalled views across the city’s beautiful skyline.
We are seeking a detail-oriented and organised Payroll & Finance Coordinator to manage both monthly and four-weekly payroll and the day-to-day transactional finance processes for our hospitality business. This role is the backbone of our finance function, ensuring accurate processing of accounts payable, sales reconciliation, payroll, and bank reconciliations. You will work closely with the Finance and People teams, providing essential data and support for monthly management reporting while maintaining excellent relationships with suppliers, operational teams, and external stakeholders.
The Head Office team is located at the back of the Old Parsonage Hotel, in central Oxford.
We offer support, training, and development opportunities to help your career flourish. We believe that investment in each and every one of our ‘collectives’ is key to the success of our business and the happiness of our customers. As a member of our team, we are looking for an exceptional candidate who shares these values.
Key Responsibilities include:Payroll Processing:
- Manage payroll processes using Access payroll software for both four-weekly and monthly payroll cycles.
- Review payslips thoroughly to ensure accuracy, including verification of recorded absences, including holidays and sickness absences.
- Perform monthly reconciliations of payroll and pension-related balance sheet accounts.
- Collaborate with WMT (Troncmaster) on the preparation of the four-weekly payroll and inform them of starters and leavers across the Company
- Collaborate with the People Team to ensure leavers and starters information is accurate and up to date
- Collaborate with our Payroll Advisor from Access Payroll to ensure payments are accurate and processed in a timely manner.
- Monitor sickness on a weekly basis and report on trends through Access Analytics.
- Carry out analysis of payroll-related expenses and efficiencies.
- Upload pension submissions to our pension provider.
- Post monthly and 4-weekly payroll journals and other monthly reporting
- Acting as the first point of contact with payroll-related queries from heads of department
- Gather wage sheets from departments, review for accuracy, make necessary adjustments, and upload to the payroll system
- Maintain and update the holiday spreadsheet and wages input sheets, distributing to all managers on schedule
- Process and balance pension figures before uploading to the pension provider, ensuring accuracy and compliance
- Collaborate with the People Team to ensure the leavers are processed in Access and ensuring all final payments are correct
- Prepare monthly statutory returns including apprentice levy calculations and submit to HMRC on time
- Process supplier invoices accurately and efficiently, ensuring correct coding, authorisation, and matching to delivery notes
- Flag and investigate unusual or questionable invoice items, querying discrepancies with suppliers and operations teams
- Ensure invoices are entered into the ledger on the correct date to optimise credit terms and maintain accurate period accounting
- Reconcile supplier statements monthly, requesting missing invoices and credit notes to ensure complete and accurate records
- Maintain supplier records, respond to enquiries promptly, and build positive working relationships with key vendors
- Monitor trade creditor balances, ensuring no unexplained debit balances and all credit notes are properly accounted for
- Review daily end-of-day reports from the room management systems, ensuring all entries are accurately recorded
- Verify that complimentary entries are properly explained and all adjustments are correctly processed and authorised
- Reconcile daily sales reports, investigating and resolving any discrepancies
- Complete monthly bank…
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