Controller
Eleven Madison Park
Eleven Madison Park is a fine dining restaurant overlooking Madison Square Park in New York City. First opened in 1998 as a French brasserie, the restaurant has been headed by Chef Daniel Humm since 2006 and owned by his company Make it Nice Hospitality since 2011. Eleven Madison Park has evolved significantly under his leadership both in food and in experience, earning several accolades including 4 stars from the New York Times and 3 stars from the Michelin Guide.
The desire to reinvent and push the boundaries of fine dining has always been at the heart of Eleven Madison Park, and the team is committed to showcasing our respect for the craft through the precision of our cooking, the elegance of our service, and the passion for our work.
This position is onsite 5 days a week
Position Summary
The Controller is responsible for daily and weekly financial reporting, revenue reconciliation, accounts payable, and month-end accounting processes for a high-volume restaurant operation. This position oversees reservation deposit tracking, vendor payments, tip and commission reconciliations, and tax filings while ensuring accuracy across financial records and reporting. Supports leadership through KPI analysis, financial reporting, and maintaining organized, detail-oriented accounting practices in a fast-paced hospitality environment.
Reports To: Chief Financial Officer
Daily and Weekly Sales Reporting
- Reconcile revenue from prior day
- Send out daily flash reports to owners, investors, and managers
- Record comps, house accounts, and deposit redemptions
- Create weekly KPI reports using revenue, COGS, and payroll data
Resy Deposits
- Ensure that all reservation deposits are accurately recorded and redeemed
- Refund deposits when necessary
Accounts Payable
- Pay vendors weekly via check or ACH
- Upload positive pay information to bank website
- Double check staff accountant’s invoice entries and spot check account statements
Create and Analyze Month-end Financial Documents
- Complete bank reconciliation
- Record journal entries to account for inventories, pre-payments, and accruals
- Reconcile balance sheet and prepare work papers with appropriate backups
- Create invoices to bill third parties
- Maintain timeline for prompt month-end processing
- Prepare month-end financial reports and analysis and disseminate to appropriate Parties
Tip and Commission Reconciliations
- Reconcile tips received with daily tip pool worksheets and inform team of any errors
- Compile weekly commission report for events department
Prepare sales tax and commercial rent tax filings
Qualifications
- Bachelor’s degree in Accounting, Finance, or a related field
- Preferred 2–3 years of accounting experience, preferably in the restaurant or hospitality industry
- Strong written, verbal, and interpersonal communication skills
- Highly organized with strong attention to detail and accuracy
- Excellent analytical, problem-solving, and quantitative skills
Reference: WJ-3553_67676