Excel and Account Executive Finance professional

Posted 2 months ago

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Job Description

Excel and Account Executive Finance | GVAA PUBLISHER LIMITED

The Tone:
This is a full-time remote role at GVAA PUBLISHER LIMITED. The company is a growing organization in the publishing sector, focused on delivering quality content and services. This role is crucial for maintaining accuracy, transparency, and efficiency in all financial and operational processes. Team members collaborate across functions to support sustainable growth and responsible financial management, making this position vital to the company’s financial health and strategic direction.

The TL;DR
• Role: Full Time
• Type: Full-time
• Location: Remote

• Mission: This person will manage the company’s financial records, statements, and compliance, ensuring accuracy and supporting sustainable growth.
• Tech Stack: Microsoft Excel, accounting or ERP software

What You’ll Actually Do
• Financial Record Management: Manage day-to-day financial records and maintain accurate ledgers using advanced Excel functions.
• Financial Statement Preparation: Prepare and review comprehensive financial statements, including balance sheets, income statements, and cash flow statements.
• Account Oversight: Oversee accounts payable and receivable, monitor cash flow, and perform account reconciliations.
• Tax and Compliance Support: Support tax-related activities, including GST calculations and compliance processes.
• Reporting and Analysis: Provide timely financial reports and analysis to management and coordinate with teams to resolve account issues.

The Must-Haves
• Background: Bachelor’s degree in Finance, Accounting, Business, or a related field.
• Experience: Prior experience in a finance or accounting role, with a focus on account management including accounts payable, accounts receivable, and reconciliation. Experience in publishing, media, or a related industry is beneficial.
• Skills: Advanced proficiency in Microsoft Excel (formulas, pivot tables, charts, data analysis); strong finance skills including budgeting, cash flow management, and basic financial analysis; knowledge of Goods and Services Tax (GST) regulations and compliance; strong attention to detail, organizational, and communication skills.
• Bonus: Professional certifications such as ACCA, CPA, or CMA are an advantage.

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