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Senior Accountant - Robusta

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Robusta assists organizations in transitioning to a digital-first approach, crafting unforgettable experiences for their customers. We provide strategy, design, product, and technology services to prominent businesses and brands, utilizing our go-to-market expertise to facilitate seamless customer experiences and enhance conversion rates.

About the Role

The Senior Accountant is responsible for maintaining the integrity and accuracy of the general ledger and leading the month-end and year-end closing processes across multiple legal entities and jurisdictions. The role ensures compliance with IFRS, supports statutory reporting and tax compliance requirements, performs complex reconciliations including intercompany and multi-currency transactions, and facilitates successful external audits.

The position provides technical accounting expertise, delivers timely and reliable financial information to support management decision-making, and drives continuous process improvement and automation initiatives to enhance financial controls, reporting quality, and operational efficiency.

Job Skills

accountants audit management professional write english customer experience act calculations financial control automation compliance requirement bank month end tax compliance process improvement ul microsoft excel accounting standards manage technical accounting reporting tool financial analysis management statutory reporting schedules accounting withholding tax fix asset depreciation operational risk support decision continuous improvement professional certifications financial accounting closing revaluations internal control conversion rates filings reconciliations corrective actions finance collaborate reliable external auditor communicate workflows collaboration technology services balance sheet audit general ledger accountant fix asset register working papers cross functional teams financial statement journal inquiries currency transactions tax advisors financial reporting operational efficiency end closing accruals ERP mitigate ar transfer pricing english strategy product coordinate execute prepayments delegate authority decision making audits
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Corporate Accountant

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Be a part of sharing special places and shaping lasting memories with Australia’s leading experiential tourism business.

About Journey Beyond

Australia’s leading experiential tourism group, Journey Beyond, is privileged to operate 20 brands spanning the country and New Zealand, connecting guests to the land, and to each other.

Headquartered in Adelaide, Journey Beyond formed in 2016 and now comprises tourism brands including: iconic trains The Ghan, Indian Pacific, Great Southern, The Overland; premium small-group outback operator Outback Spirit; eco-luxury lodge Sal Salis Ningaloo Reef; aquatic adventures Cruise Whitsundays, Rottnest Express, Sailaway Port Douglas, Horizontal Falls Seaplane Adventures, Darwin Harbour Cruises and Journey Beyond Cruise Sydney; our tallest members, Melbourne Skydeck and Eureka 89; the historic Vintage Rail Journeys; The Telegraph Station in Alice Springs; Monarto Safari Resort; Exmouth Dive & Whalesharks Ningaloo, New Zealand coach tour specialist Grand Pacific Tours, and Voyages Tourism Australia.

 

About You

We are seeking a detail-oriented and proactive accounting professional to join our team.

Job Skills

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Risk Management Expert

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Our client is seeking a results-driven professional with CANDU refurbishment knowledge, experience, and skills, to join our team of dedicated leaders in Romania in the role of Expert Refurbishment Risk Management supporting Cernavoda Unit 1 Refurbishment program.  

Reporting to the Manager Project and Risk Management, the Expert Refurbishment Risk Management will utilize their refurbishment experience to achieve project objectives on time, on budget and in compliance with applicable quality assurance and safety standards.  

KEY ACCOUNTABILITIES 

  • Lead Risk Management in support of the current projects  
  • Develop and Implementation of methodologies, governance and processes in relation to Risk Management. 
  • Ensure the program is reviewed periodically to evaluate known risks and to document any known risks on a prescribed frequency as well as retiring of risks which have been resolved; 
  • Develop mitigating actions to lower the probability of the risk materializing; 
  • Document any residual risks; 
  • Interface with various project departments as well as the Station to identify, review and monitor new risks or changes in risk profile; 
  • Ensure compliance with applicable quality assurance standards in all relevant activities associated with the project, including design, procurement and implementation of works; 

Requirements

EDUCATION  

Job Skills

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Accounting / Treasury Manager

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Location: Luxembourg, Luxembourg (Office)

On-Site | Full-time

Compensation: €100K - €140K

We are hiring on behalf of our client who is a leading, regulated cryptocurrency exchange with a global presence across Asia, Europe, and the United States, they are seeking an enthusiastic and dynamic Accounting / Treasury Manager. This organization holds the distinction of being one of the first exchanges licensed to operate across multiple major jurisdictions and functions as a financial institution regulated by the CSSF in Luxembourg.

The successful candidate will lead the finance function for the European entity, ensuring the integrity, transparency, and efficiency of financial operations within a highly regulated environment. This role is designed for a leader who can build trust, motivate a team, and enhance processes to support a rapidly growing business in the revolutionary blockchain industry.

Key Responsibilities

Team Leadership & Strategy

Job Skills

professional accounting cycle financial control automation high level security policy month end bank operate manage financial manage technical accounting budgeting end closings communication financial management cryptocurrency management team leadership continuous improvement control internal transparency banks treasury forecasting financial accounting variance analysis finance reconciliation collaborate act performance based managed securely external auditor best practices operations blockchain professional development audit accountant japanese corporate tax treasury management financial statement financial institution treasury manager verbal communication skill accounting software financial service accounting manager cooperate journal collaborative filing account payable operational efficiency financial planning bulletin english applicable data global projects regulated financial e coordinate aca implement systems accounting
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Consolidation Accounting Associate

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Join Alumil as a Consolidation Accounting Associate and contribute to our financial reporting process across multiple subsidiaries!

Who are we looking for?

The Consolidation Accounting Associate is a key member of our accounting team. You will play a crucial role in the consolidation of financial statements for our international subsidiaries. You will collect financial data and you will ensure the accuracy and compliance of financial data to contribute to the submission of the consolidated financial statements in group level and financial reports.

Your main responsibilities will include:

  • Assisting in the preparation and consolidation of monthly financial statements for all subsidiaries
  • Coordinating with local finance teams to gather financial data and resolve any discrepancies
  • Preparing detailed consolidation schedules and performing variance analysis
  • Supporting the annual financial audits by providing necessary documentation and explanations
  • Ensuring compliance with reporting standards and regulations
  • Identifying process improvements to enhance efficiency and effectiveness in consolidation practices

Your attention to detail and analytical skills will help our organization maintain accurate financial records and comply with international financial reporting standards.

Requirements

Job Skills

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Financial Accountant

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DOF is expanding the team.

We are seeking an experienced and highly motivated Financial Accountant to join the accounting team in Singapore. This is a permanent role and is required for an immediate start.

The DOF Group

We are a global team of skilled professionals who, combined with a fleet of state-of-the-art, purpose-built vessels, provide services to the Offshore Energy industry across the entire offshore life cycle. This is the formula for our success in delivering solutions to our customers.

About DOF Subsea:

DOF Subsea is a specialist subsea service business that provides subsea construction, subsea engineering, inspection, repair and maintenance and survey services, which involve complex and challenging engineering in an international environment.

DOF Subsea owns a large fleet of modern subsea construction, intervention and survey vessels that enable it to offer differentiated positions with its clients and work in long term relationships, which enhance service delivery and reduce the overall risk.

Job Skills

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