Accounting Manager (Bilingual in Korean)

Cesna Recruitment

Irvine, CA

JOB DETAILS
SKILLS
Accounting, Accounting Close, Accounts Payable, Analysis Skills, Auditing, Balance Sheet, Budget Management, Budgeting, Capital Expenditure (CAPEX), Capital Project, Cash Flow, Cash Management, Channel Strategies, Data Modeling, Dental Insurance, External Audit, Financial Analysis, Financial Planning and Analysis (FP&A), Financial Reporting, Financial Statements, Financial Trend Analysis, Flux Analysis, Food and Beverage Industry, Forecasting, Funding, General Ledger Accounting, Generally Accepted Accounting Principles (GAAP), Industry Standards, Intuit Quickbooks, Korean Language, Liquidity, Microsoft Excel, Operational Expenditure (OPEX), Operational Support, Organizational Skills, People Management, Pricing, Procure to Pay/Purchase to Pay (P2P), Profit & Loss Analysis, Property Tax, Purchasing/Procurement, Reconciliation, Regulatory Compliance, Reporting Skills, Restaurant, Revenue Planning, Root Cause Analysis, Sales Tax, Sarbanes-Oxley Act (SOX), Standard Operating Procedures (SOP), Tax Regulations, Technical Accounting, Technical Writing, Time Management, Treasury, Treasury Management, Variance Analysis, Vendor/Supplier Planning, Vision Plan
LOCATION
Irvine, CA
POSTED
1 day ago

[Job Summary]

The Accounting Manager leads the centralized financial functions for our hotel and restaurant portfolio. This role is responsible for maintaining the integrity of the General Ledger in accordance with GAAP, managing corporate liquidity and treasury functions, and driving the annual budgeting and variance analysis processes. You will act as a strategic partner to unit-level General Managers and Chefs by translating complex financial data into actionable operational insights.

[Job Description]

1. Financial Reporting & GAAP Compliance

? Centralized Close: Lead the month-end and year-end closing process for multiple entities, ensuring all financial statements adhere to GAAP and industry standards (USALI/USAR).

? Technical Accounting: Manage complex hospitality-specific accounting, including ASC 842 (Lease Accounting), deferred revenue (gift cards/deposits), and accrual-based reporting for high-turnover inventory.

? Internal Controls: Establish and audit standard operating procedures (SOPs) for cash handling, tip pooling, and revenue reconciliation across all locations.

2. Treasury & Cash Management

? Liquidity Planning: Develop and maintain a 13-week rolling cash flow forecast to ensure adequate funding for payroll, vendor payments, and debt service.

? CapEx & OpEx: funding of Capital Expenditure projects (renovations and equipment).

3. Budgeting & Variance Analysis (FP&A)

? Annual Budget Development: Facilitate the bottom-up annual budgeting process, collaborating with department heads to set realistic revenue and expense targets.

? Budget vs. Actual Analysis: Produce monthly "deep-dive" variance reports. You are responsible for identifying the root cause of discrepancies?whether they stem from "Prime Cost" leakage (food/labor) or external market shifts.

? Re-Forecasting: Adjust quarterly forecasts based on seasonal trends, occupancy shifts, or changes in food commodity pricing.

4. Hospitality Operational Support

? Prime Cost Oversight: Monitor consolidated Food & Beverage (F&B) costs and Labor percentages across the portfolio to identify outliers.

? Tax & Regulatory Compliance: Ensure timely and accurate filing of sales tax, occupancy tax, and property tax (Form 571-L).

? Vendor & Payroll Strategy: Manage centralized Accounts Payable (AP) to leverage bulk-purchasing power and oversee complex, payroll/tip-credit compliance.

5. Audit Management & Quarterly Reviews

? Audit Liaison: Serve as the primary point of contact for external auditors. Manage the PBC (Prepared by Client) list and ensure all supporting documentation is technically sound and organized.

? Quarterly "Flux" Analysis: Conduct deep-dive balance sheet and P&L variance analysis (Actual vs. Budget and YoY) to explain financial trends to stakeholders.

? Internal Controls: Implement and monitor internal control frameworks (SOX-light) regarding cash handling, tip pooling, and procurement-to-pay processes.

Requirements

- The job requires:

- 10 years or more experience in accountancy

- Ability to analyze complex financial information and produce reports

- A minimum of 3 years’ experience of preparing management accounts, budgets and cash flow forecasts

- Experience of computerized accounting packages; Expert-level MS Excel (Data modeling), QuickBooks, Margin Edge, SpotOn

- Minimum 5 years or more experience of supervising staff

- Good interpersonal skills

- Bilingual (Korean/English) is a strong plus

Benefits

- Paid Vacation

- 401(k)

- Health Insurance

- Vision / Dental Insurance

- Employee Discount

About the Company

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Cesna Recruitment