Finance Specialist
1 week ago
Sinch provides innovative mobile messaging solutions that help businesses of all sizes – from SMBs to enterprise-level – better connect with customers. With 90 percent of messages read within 90 seconds, Sinch SMB drives business success by creating engaging mobile experiences that customers love. Our messaging solutions for alerts and notifications, billing and payments, appointment reminders, marketing, and staff scheduling are trusted by over 65,000 customers in industries such as healthcare, education, retail, and utilities. With offices across Australia, United States, United Kingdom, and New Zealand, Sinch SMB is the number one choice for easy and engaging business messaging. About the Role Reporting to the Senior Financial Accountant, the Finance Specialist will support the reconciliation of the Sinch APAC bank accounts on a weekly and monthly basis. This role will involve following a set of defined processes to upload transactions and identify and investigate unreconciled items. The successful candidate will be comfortable with handling large data sets and communicating results or issues that arise from the process. As a Finance Specialist, you will be responsible to: Extract bank statements from online banking. Prepare bank journal upload files for the Sinch Australia entities (weekly) & SMB’s unit bank accounts (daily). Identify and investigate unreconciled transactions. Prepare and post the monthly bank charges entries. Perform monthly Ramp credit card transactions matching Perform Weekly Bank Reconciliations Prepare the monthly balance sheet reconciliations for Bank accounts. Support in all year end external audits Do weekly customer payment matching and Customer reconciliations for Sinch Australia Do other ad-hoc projects and work as required including continual process improvement initiatives. In order to be successful for this role, we believe you should have: 4 years+ experience in the accounting/finance environment. Strong system knowledge including Netsuite (ERP), Zuora and banking platforms. Desirable experience in bank and balance sheet reconciliations. Good proficiency in excel and data manipulation skills. High attention to detail. Proven track record for being a fast learner. An interest in problem solving. Our Values At Sinch we“Dream Big”,“Win Together”,“Keep it simple”and“Make it Happen”. These values are our foundation for fostering an environment where diversity of thinking, skills and experiences are embraced, delivering innovation and better business results. Bring your authentic self to Sinch Here at Sinch we embrace diversity and work to create an inclusive workplace where everyone can thrive. No matter who you are, you'll be able to explore new career and growth options - sharing your voice, building your path and making it happen with us. If this role isn’t what you’re looking for, please consider other open roles on our career page:Sinch Careers Our Hiring Process At Sinch, we are committed to following a recruitment process that is fair, objective, consistent, and non-discriminatory. To help us place the right people in the right role, we believe in science-based and fair assessment methods. We follow a competence-based, structured interview process where your skills, experience, and attributes relevant to the role and Sinch will be assessed. As part of our recruitment process, pre-employment testing is used to help us increase our hiring success by identifying the candidates that are most likely to thrive and be successful in the role. We acknowledge that there are two parties deciding in this process and welcome you to ask any questions you may have at any stage of the process. #J-18808-Ljbffr
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