
Hotel Controller
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Overview
Job Description
Join a Growing, Values-Driven Hospitality Organization Where Your Expertise Fuels Success
At Hulsing Enterprises, we are a dynamic hospitality company dedicated to delivering exceptional guest experiences across our portfolio of premium hotels and related properties. Our family of businesses includes high-quality hotels, restaurants, fitness and racquet clubs, and more-all united by our commitment to outstanding service, operational excellence, and creating memorable stays for every guest.
We are seeking a Controller for our Hotel Division with a primary focus on the Orlando, Florida area. This senior leadership role will drive financial operations and strategic growth for our hospitality portfolio while operating within the broader Hulsing ecosystem. You'll gain broad exposure to how accounting supports multiple business lines, with your primary impact centered on elevating financial excellence across our hotels.
About the Role As our Controller in the Hotel Division, you will report directly to the VP of Accounting and Finance and serve as a key financial leader for hotel operations in the Orlando market and beyond. You'll partner closely with the Chief Operating Officer, General Managers, and property leadership teams to provide the financial clarity, analysis, and strategic guidance needed to manage, optimize, and grow these dynamic hospitality businesses. This is a high-visibility strategic role where your expertise will directly influence business decisions, operational efficiency, and long-term success in a mission-aligned organization.
Key Responsibilities
- Provide strategic financial leadership and partner closely with the COO, hotel leadership, and the VP of Accounting and Finance to deliver actionable insights that drive informed decision-making, cost optimization, and growth initiatives.
- Oversee general cost accounting, financial reporting, and the full range of accounting duties tailored to hospitality operations across multiple sites.
- Lead the preparation of timely and accurate monthly financial statements, including balance sheets, income statements, profit & loss reports, and variance analysis.
- Maintain and enhance the general ledger with precision, including invoice coding, new account setup, reconciliations, month-end close processes, and consolidation activities.
- Manage monthly bank account reconciliations, verify deposits, resolve banking inquiries, and oversee cash management processes.
- Direct accounts payable operations, ensure accurate invoice verification and allocation, and maintain strong internal controls.
- Collaborate with external auditors by preparing documentation, coordinating audit support, and ensuring seamless audit processes.
- Prepare and file required federal, state, and local tax forms while ensuring compliance across jurisdictions.
- Lead or support special projects as needed to support the evolving needs of our growing hotel division and broader enterprise, including process improvements, system implementations, and acquisition integrations.
- Mentor and develop accounting talent within the division, fostering a culture of excellence and continuous improvement.
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