Responsibilities:
- To operate and manage day-to-day reconciliation activities and function
- To forecast and monitor cash flow related to business financial activities
- To maintain internal/external coordination related to reconciliation function
- To prepare and provide accurate reconciliation data for accounting team
- To prepare and provide periodic reports in regards with reconciliation activities
- To support bank channeling and integration related to business function
- To support other task related to business financial activities
Requirements:
- Have a Bachelor Degree of Accounting, Finance, or a similar course, or 1-3 years of relevant experience in a start-up/fast paced environment or within the payments, fintech, or financial services
- Basic verbal and written communication skills in English
- Working knowledge of Microsoft Office Suite, Especially Excel with PIVOT, LOOKUP, and other formula related to data process
- Reconciliation skills will be a big plus for this position
- You are detail oriented, can see patterns in data/information or notice when something is amiss
- Experience with SQL or visualization tools (preferably)