October 11
• Manage daily financial reconciliations. • Assist in monthly closing reports. • Oversee various financial processes. • Perform daily reconciliations for various Bank accounts. • Manage accounts payable (AP) and accounts receivable (AR) processes. • Process client refunds and manage Company inventory. • Conduct monthly bank reconciliations for all accounts. • Collaborate with team members on payroll, agent commissions, and bonuses.
• Proven experience in accounting or finance roles for at least 3 years, specifically within the travel or e-commerce sectors. • Strong understanding of reconciliation processes and financial reporting. • Familiarity with accounting software (e.g., QuickBooks) and data analysis tools. • Excellent attention to detail and organizational skills. • Ability to communicate effectively with team members and suppliers. • English: upper intermediate
• Competitive salary and benefits package. • Opportunities for professional development in a growing company. • A collaborative and flexible remote work environment.
Apply NowJune 20
501 - 1000