Perform reconciliations for physical trading transactions
Prepare monthly management reports including p&l
The role involves maintaining vessel-level profitability reporting and performing reconciliations for physical trading transactions
Job Summary
The role involves maintaining vessel-level profitability reporting and performing reconciliations for physical trading transactions.
Candidates will support trade finance processes including Letters of Credit and verification of bank charges while preparing monthly management reports.
This is a hands-on finance role offering high ownership and visibility within a collaborative, close-knit team.
Matching Summary
Match Score: 85
The role involves maintaining vessel-level profitability reporting and performing reconciliations for physical trading transactions.
Skills & Requirements
Must-have
Maintain vessel-level profitability reporting
Perform reconciliations for physical trading transactions
Prepare monthly management reports including P&L
Support trade finance processes including Letters of Credit
Nice-to-have
High attention to detail with strong analytical skills
Collaborative team culture within small organisation
Direct exposure to traders and senior leadership
Key Requirements
Professionally qualified accountant (CPA, ACCA, CA or equivalent)
3 years of experience in accounting or finance
Experience preparing management accounts and supporting audits