Specialist, Accounting
Core
Handle cash and bank reconciliations, invoice issuance, payment processing, and general ledger reconciliation for a delivery platform's rider finance and inventory operations.
Role type
Specialist, Accounting (Operational Accounting)
Builds
Rider finance entries, inventory postings, and financial reports for the delivery operations team.
Domain
Food delivery / Logistics / Finance
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
Cash/bank reconciliation, Payment processing, Invoice issuance, General ledger reconciliation, ERP systems (SAP), MS Office, Google Workspace
Preferred skills
SQL, Stock movement tracking, Rider/fleet financial operations
Responsibilities
Perform cash and bank reconciliations, Process payments and issue invoices, Reconcile general ledger balance sheet items, Support month-end closing activities, Manage rider finance and inventory operations entries
Seniority
Mid-level, hands-on IC