Our partner in the travel and tourism industry is looking for a new accountant colleague. With the travel and tourism sector back on an upward trajectory, this could be the perfect time to join!
Pozíció leírása / Job description- Drive efficient client reminders, prepare insightful AR reports, reconcile balances, and process timely refunds.
- Keep the invoices database organized and seamlessly handle bank payment creation.
- Record and reconcile incoming and outgoing payments, ensuring bank balances match statements.
- Accurately post transactions, update ledgers, and maintain up-to-date balance sheet reconciliations.
- Prepare and manage master data, post transactions, and ensure smooth system reconciliations.
- Collaborate with local teams to gather documentation, deliver AR reports, and support financial reporting.
- Assist with year-end audit preparations to ensure a smooth financial close.
- Tackle ad-hoc tasks from the Local Head of Corporate & Finance with ease and efficiency.
- Bachelor’s Degree in Accounting or Finance or similar is required
- 1 - 3 years of relevant work experience
- Good knowledge of Excel and accounting systems
- Excellent written and good verbal communication skills in English and Danish is an advantage
What We Offer:
- Competitive compensation package
- Generous cafeteria benefits
- Public transport pass and commuting support
- Friendly and pleasant office atmosphere
- International environment
- Attractive downtown location (5th district)
- Hybrid work model with the option for remote work
If you have any questions or concerns, do not hesitate to contact:
Hesz Attila ()
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