About the Role
Role details below.
Responsibilities
- Manage accounting processes related to partner programs, revenue sharing arrangements, and partner-related financial flows
- Record and reconcile transactions related to partner commissions, revenue sharing, and program incentives
- Ensure accurate revenue recognition and financial reporting related to partner activities
- Support accounting processes related to benefits programs and related financial transactions
- Prepare journal entries, reconciliations, and supporting schedules as part of the monthly financial close process
- Monitor partner and benefits-related balances and investigate discrepancies when identified
- Work closely with Partnerships, Product, and Operations teams to ensure proper financial treatment of new programs and initiatives
- Communicate directly with external partners to clarify financial transactions, reconcile balances, and resolve discrepancies
- Coordinate with partners and internal teams across multiple countries and jurisdictions to ensure accurate financial reporting and alignment
- Support the implementation of automated processes and system integrations related to partner and benefits accounting
- Maintain clear documentation of accounting treatments and internal controls related to partner programs
- Identify opportunities to streamline processes and reduce manual accounting work
- Support internal and external audit processes related to partner and benefits financial activities
- Ensure compliance with internal accounting policies and applicable accounting standards
- Assist in developing scalable accounting frameworks as partner programs and benefits offerings evolve