Full-time Posted June 18, 2026
Apply Now

Job Description

Responsibilities

  • Preparing funds request to vessel owners and update funds schedule on a monthly basis.
  • Posting bank related entries via FEBA for non-open item payments.
  • Performing vessel bank reconciliation on a monthly basis.
  • Verifying payroll entries on a monthly basis.
  • Verifying opening balances of onboard cash acc, provision and bond stores.
  • Verifying all purchases made with cash onboard are supported by original receipt.
  • Verifying all expenses are supported with proper documents.
  • Preparation of requisition forms for payment.
  • Posting entries from manning agent disbursement in the accounting system.
  • Ensuring expenses are coded accordingly and approved by relevant Crewing Manager, Vessel Manager and Fleet Manager (where appropriate).
  • Posting appropriate journal entries (accruals, adjustments, amortization etc).
  • Verifying the Gard Insurance distribution.
  • Rec...

Apply for This Position

Ready to take the next step? Click the button below to submit your application.

Submit Application