Job Overview
As a key member of our finance team, you will play a crucial role in supporting the company's growth and expansion.
Our goal is to strengthen our financial foundation and ensure seamless operations.
* Month-End Close: Record transactions, prepare journal entries, and close books within two banking days.
* Financial Reporting: Prepare and analyze balance sheets, income statements, and cash flow statements.
* Reconciliation: Reconcile bank, intercompany, and vendor accounts; resolve discrepancies quickly.
* Cash Management: Track daily cash flow and support short-term forecasting.
* Accounts Payable & Receivable: Manage invoicing, collections, payroll, and reimbursements.
* Compliance & Audit: Ensure adherence to accounting standards and maintain audit schedules.
* Telco Billing: Validate vendor billing and investigate anomalies.
* Financial Analysis: Partner with the Senior Finance Manager to analyze margins and cost drivers.
Requirements
• Certified Public Accountant (CPA) or equivalent qualification.
• 5+ years of experience in general accounting with exposure to various accounting standards.
• Proficient in Xero, Excel/Google Sheets, and financial reporting tools.
• Experienced in reconciliation, collections, and billing operations.
• Strong analytical skills, attention to detail, and ability to work independently.
• Excellent communication skills and comfort working across time zones.
• Experience in SaaS, telco, or usage-based businesses is a plus.