Educational requirements: Bachelor
English requirements: Competent English
Requirements for skilled employment experience for years: 1-3 years
Required residence status: Temporary visa
Accept remote work: Accept during COVID-19 restrictions only
We are currently seeking an Assistant Accountant to join our growing team. Reporting to Finance Manager, this full-time permanent role requires you to bring your finance and accounting skills into our organisation.
Key Responsibilities:
Process Financial transactions and journal entries
Assist Finance Manager for Month End preparation
Prepare monthly General Ledger reconciliation and variance analysis
Reconcile bank, credit card and cash on daily basis
Process Accounts receivable, including customer invoices, credit notes, payments, voucher reconciliations, adjustments and follow-up of overdue accounts
Maintain Ventrata ticketing system and liaise with UK head office support team to resolve all system related issues
Daily shifts and cashiering reconciliation and work closely with operation team to resolve daily issues
Preform other financial tasks when required by FM including various analysis and reporting.
Proactively answer business, customer & partner telephone calls when required
Maintain business documentation to support training,
Other administrative duties when required such as IT, office supplies telecommunication
Ready for an immediate start, you will be a dynamic individual with:
Excellent understanding of tourism industry and revenue generation channels
2 years’ experience in accounting and finance roles, preferably in medium or larger size company.
Great understanding of global ticketing systems
Highly organised and demonstrated ability in prioritising tasks and achieving multiple reporting deadlines
Excellent verbal and written communication skills in English
Extensive experience in the use of computers, strong working knowledge of Microsoft Excel and Word, digital platforms, and mobile technology
Strong team player
Proficiency in additional languages will be an advantage
Flexibility in hours to communicate and collaborate with international teams, and support local operational requirements
Experience in SAP is highly desirable
Cashiering and cash management experience is beneficial
Ability and willingness to work collaboratively across all areas of the business
Demonstrated problem solving skills and a can-do attitude
MYOB or similar financial package experience is highly desirable
What we offer:
On-site parking
Flexible working arrangements
Professional Development Opportunities - CPA support
Highly supportive team environment and positive culture
Generous salary package
Working for a global tourism company