Position Overview
Responsibilities
- Oversee end-to-end finance process of bank reconciliations for receipts and payments to merchants
- Work closely with different stakeholders in resolving reconciliation matters with acquirers and partners
- Assist in Monthly Closing of the Accounts
- Preparing Invoices for new/ existing merchants
- Credit Control on Outstanding Receivables
- Assist in Annual Audit and other reporting requirements
- Undertake any other duties and responsibilities to be assigned by superior
Requirements
- Experienced in fintech industry would be added advantage.
- Possess minimum a Degree qualification in Accounting or a related field
- Proficient in Microsoft Excel. Experience in Oracle Netsuite will be an added advantage
- Able to work under minimal supervision, having sense of urgency and accountability
- Proven analytical and problem-solving skills, with...