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WorldRemit // digital money transfer service
 
Cebu    Posted: Thursday, June 06, 2019
 
   
 
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JOB DETAILS
 

About the role

We are now looking to strengthen the team with an Assistant Finance Manager to help meet the demands of WorldRemits continuing growth.

This is not a conventional finance role. The role will evolve quickly as processes are redesigned & implemented. The role will be a key player to driving changes.

Whilst you wont need to have worked in the FinTech or the money transfer sector in the past, its important that you are a qualified accountant. You will most likely have experience of at least one of the following audit, cash management, treasury, reconciliations & reconciliations software. This role is the perfect opportunity to develop your leadership & management skills in a fast-paced FinTech environment.

Responsibilities

  • Ensuring the team are meeting their goals on both daily journals & reconciliations as well as month end tasks
  • Balance workload of the team to optimize their strengths & weaknesses whilst also considering development opportunities
  • Review & approval of daily bank / cash journals & month end close journals
  • Review & approval of daily transactional & monthly balance sheet reconciliations
  • Encouraging & assisting the team to proactively investigate & solve any discrepancies uncovered during the reconciliation process
  • Lead the automation of the cash recording & reconciliation process
  • Identify areas for operational improvement, particularly in terms of automation & scalability, reflecting the broader growth trajectory of the organisation
  • Working with new & existing banking partners & external stakeholders to resolve data integrity & reporting issues
  • Ensure updated documentation outlining the bank/cash reconciliation processes

Essential Requirements

  • Qualified Accountant (ACCA/ACA/CIMA preferable)
  • 4+ years professional experience,
  • Experience of line management of staff
  • Experience working in a financial control team including the management of ledgers & accounting software systems, e.g. NetSuite
  • Experience in the use of reconciliation software
  • Confident spreadsheet skills SUMIF, Pivot tables, VLOOKUP
  • IT Skills (SQL, VBA Macro) for example using database query skills to extract ad-hoc data for reporting & analysis
  • Experience in leading projects with timely & successful completion
  • Experience working in an international business, working with foreign currency transactions

Desirable Requirements

  • Has worked within the money transfer, payments, gambling or travel industry
  • Experience using transaction matching systems such as Reconart, Smartstream, TLM
  • An interest in pursuing a career in finance & accounting within a fintech company
 
 
 
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