Brokerage Fee Billing: Managed brokerage fee billing processes, ensuring accuracy and compliance with agreements Review and verify transactions against PowerBI/Eyeshare, resolve discrepancies with customers, and ensure invoices comply with contractual terms Accounts Receivable Management: AR aging
Responsibilities Claims management & submission: Assess claim validity, collect documents, notify insurers, and update shipowners. Register and track claim status; ensure timely filing. Stakeholder coordination: Liaise with internal teams and Accounts to reconcile claim bookings and
Support Group-level budgeting, forecasting and planning processes, working closely with regional finance teams to challenge assumptions, validate key drivers and deliver timely, accurate and insight-led submissions. Prepare financial and management reporting with robust variance analysis, trend
Prepare monthly and annual financial reports in compliance with local regulations and Group standards Assist in forecasting and budgeting related topics Assist in tax filings, audits and compliance matters Identify inefficiencies in existing finance processes and
Financial Consolidation Management: Oversee and manage group financial consolidations, ensuring accuracy and compliance in all statutory reporting and budgeting processes. Executive Reporting and Insights: Lead the preparation and review of monthly consolidated financial reporting for senior
Responsibilities Financial Consolidation Management: Oversee and manage group financial consolidations, ensuring accuracy and compliance in all statutory reporting and budgeting processes. Executive Reporting and Insights: Lead the preparation and review of monthly consolidated financial reporting for
⠀ This role will be responsible to the C-130J Key Account Manager (KAM) and will report to the C-130J Lead Instructor for the provision of training, administrative and subject matter expertise support applicable to C-130J Pilot
Responsibilities Support Group-level budgeting, forecasting and planning processes, working closely with regional finance teams to challenge assumptions, validate key drivers and deliver timely, accurate and insight-led submissions. Prepare financial and management reporting with robust variance analysis,
As a Senior/Vessel Manager, you will assume full responsibility for safe operation of a fleet of Gas Carriers vessels assigned to you. Besides day to day close monitoring of vessels, you will be required to supervise
As a Senior/Vessel Manager, you will assume full responsibility for safe operation of a fleet of Gas Carriers vessels assigned to you Besides day to day close monitoring of vessels, you will be required to supervise
Requirements Apply now to become a Hong Kong-based First Officer if you meet the following requirements: ICAO Airline Transport Pilot Licence (ATPL) or Commercial Pilot Licence (CPL) with a Multi Engine Instrument Rating (MEIR) and same
Brokerage Fee Billing: Managed brokerage fee billing processes, ensuring accuracy and compliance with agreements Review and verify transactions against PowerBI/Eyeshare, resolve discrepancies with customers, and ensure invoices comply with contractual terms Accounts Receivable Management: AR aging
Prepare monthly and annual financial reports in compliance with local regulations and Group standards Assist in forecasting and budgeting related topics Assist in tax filings, audits and compliance matters Identify inefficiencies in existing finance processes and
Managed brokerage fee billing processes, ensuring accuracy and compliance with agreements Review and verify transactions against PowerBI/Eyeshare, resolve discrepancies with customers, and ensure invoices comply with contractual terms Brokerage Fee Billing Managed brokerage fee billing processes,
This role will be responsible to the C- 130J Key Account Manager (KAM) and will report to the C- 130J Lead Instructor for the provision of training, administrative and subject matter expertise support applicable to C-