WHAT YOU'LL DO
- Assist in the monthly Ship Agency monthly balance sheet review, reconciliation and analysis (e.g. bank/cash/SOA reconciliation, subsidiary ledgers for AR, AP, Interco, etc.).
- Timely prepare and submit the SOA and supporting documents to the Ship Management Companies as well as other client-specific reporting requirements (e.g invoices)
- Participate in Ship Agency Accounting process/systems enhancements aimed towards achieving most effective and efficient procedures/policies.
Required Qualifications
Qualification