About the Role

The Junior Financial Accountant at Travelstart ensures accurate financial record-keeping, compliance with financial policies, and efficient transaction processing. The role is essential for maintaining financial data integrity, reconciling accounts, and supporting informed decision-making.

Key Responsibilities:

    • Accounting & Financial Management: Manage full accounting functions up to Trial Balance, record transactions, and assist with month-end/year-end closing.
    • Cash & Bank Reconciliations: Monitor daily cash flow, reconcile bank and credit card transactions, and resolve discrepancies.
    • Reconciliation of Accounts: Ensure income, expenses, and balance sheet accounts are accurately recorded and reconciled.
    • Payments & Creditors Management: Process local and international supplier payments, verify creditor accounts, and maintain cash flow.
    • Asset & Audit Management: Maintain the asset register, track depreciation, and support audit processes by ensuring compliance.
    • Payment Authorization: Review and approve daily payments and refunds, ensuring compliance with financial policies.
    • General Ledger & Compliance: Perform sub-ledger reconciliations, assist with tax filings, VAT returns, and support budgeting tasks.

      Skills & Experience

      • 3+ years of accounting experience
      • Strong accounting/bookkeeping background (tertiary qualification advantageous)
      • Proficiency in MS Excel & Google Workspace
      • Strategic thinker with a proactive and results-driven approach
      • Ability to work in a dynamic team and meet strict deadlines

          Personal Competencies

          • Attention to Detail
          • Analytical Thinking
          • Time Management
          • Integrity & Confidentiality
          • Proactive & Self-Motivated
          • Strong Communication Skills
          • Adaptability & Resilience
          • Problem-Solving Ability
          • Organizational Skills

              About the team

              The Finance Team is a dynamic and collaborative group responsible for financial accuracy, compliance, and efficiency. They manage accounting functions, financial reporting, and strategic planning to maintain the company’s financial health. Operating in a fast-paced and innovative environment, the team works closely with various departments, suppliers, and stakeholders to optimise financial processes.