Finance Assistant & AP - FTC
Core
Manage end-to-end Accounts Payable processes, ledger management, and employee expenses across multiple entities and currencies.
Role type
Accounts Payable & Finance Assistant
Builds
Financial records, payment runs, and reconciliations for a global travel tech company
Domain
Travel technology / Finance
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
End-to-end AP process management, multi-currency reconciliations, general ledger postings, journal entries, supplier/airline reconciliations, financial statement analysis (P&L, BS, Cash Flow), NetSuite, Excel
Preferred skills
Process automation, audit support, stakeholder collaboration
Technologies
NetSuite, Excel, Pleo, Brex
Responsibilities
Run full-cycle Accounts Payable and ledger management, manage international payment runs and bank/credit card reconciliations, support monthly management accounts and annual audit processes, identify bottlenecks to optimize financial processes, partner across teams for internal queries and special projects
Seniority
Junior to Mid-level, hands-on IC