Global Accounting Analyst

Hollywood, FL
Full Time
Entry Level
About Scenic Group:
From humble beginnings in Newcastle, Australia, to a global company with business centers in Australia, New Zealand, Switzerland, USA, Canada, and the UK, Scenic and Emerald Cruises are a true success story within the travel industry. The Scenic story began in 1986, when our founder Glen Moroney began operating coach tours throughout Australia, quickly expanding into New Zealand, Norfolk Island, and South Africa. By the end of the decade, Scenic was hosting tours to Canada and Alaska, and in 2008 we launched our unique Space-Ships and began offering luxury all-inclusive river cruises throughout Europe. In 2019, Scenic also launched the World’s First Discovery yacht, Scenic Eclipse. Emerald Cruises was formed in 2013 to offer a contemporary and inclusive cruise experience. Fast forward to 2025 and we have 10 Star-Ships sailing the rivers of Europe and Southeast Asia, and two ultra-luxury yachts that explore the most desirables coastlines and oceans.


Scenic Group is looking to hire a Global Accounting Analyst to join our team at our Hollywood, FL corporate location.

Position Summary:

The Accounting Analyst is responsible for executing key treasury functions, including cash management, cash receipting, reconciling credit card reporting, and bank reconciliation. This role requires a detailed understanding of credit card merchants, strong analytical skills, and the ability to work collaboratively with different global markets within the organization. The Treasury Specialist will support the Senior Accounting Manager and other finance team members in ensuring the company’s financial operations run smoothly and efficiently.
Key Responsibilities:
    • Review daily credit card reports and reconcile with bank and accounting system for multiple entities.
    • Investigate and resolve discrepancies, disputes, or issues.
    • Complete booking related deposits in bank and related entity.
    • Maintain tracking of chargebacks for US entity.
    • Download and review daily bank statements for each bank account and related entities.
    • Maintain accurate daily and monthly bank reconciliation in accounting software for multiple markets in multiple currencies.
    • Complete month end bank reconciliations and liaise with global finance teams to ensure transactions are entered in accounting system to meet required deadline.
    • Assist with vendor payments as needed.
    • Participate in treasury related projects.
    • Assist with audit requests and other accounting projects as needed.
    • Ensure compliance with internal controls, policies, and regulatory requirements.
Qualifications:
  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • 3+ years of experience in treasury, finance, or related area.
  • Cruise and/or travel experience preferred.
  • Strong understanding of treasury operations and financial markets.
  • Self-starter approach to work, with an eagerness to take responsibility and consistently exceed objectives.
  • Strong organization skills
  • Strong communication and interpersonal skills
  • Advance Excel skills – pivot tables, vlookup, formulas
  • Ability to multi-tasks and meet required deadline
  • Result driven ; Highly motivated, flexible and with a positive and “can do” attitude
What we offer:
  • Generous vacation and paid time off policy
  • Medical/dental/vision insurance
  • Commuter benefits
  • 401k (match)
  • Dental insurance
  • Healthcare spending or reimbursement accounts such as HSAs or FSAs
  • Retirement benefits or accounts
  • Commuting/travel assistance
  • Employee discounts
Job Type: Full-time
Work authorization:
United States (Required)
 
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