
10,000+ employees
Founded 2000
💼 Consulting
📦 Logistics
🏭 Manufacturing
💰 $6.5M Post-IPO Equity on 2010-03
Consulting • Logistics • Manufacturing
eClerx is a trusted innovation partner that provides technology, data analytics, and process management services to some of the world’s leading brands. Their capabilities span multiple sectors, including digital customer operations and financial markets, leveraging advanced solutions like robotic process automation (RPA) and generative AI. As a globally deployed company, eClerx is dedicated to delivering exceptional outcomes through their adaptable engagement models, ensuring they meet diverse business needs across various industries.
🕒 March 26
Improve your chances of getting an interview by checking your resume score before you apply.

10,000+ employees
Founded 2000
💼 Consulting
📦 Logistics
🏭 Manufacturing
💰 $6.5M Post-IPO Equity on 2010-03
Consulting • Logistics • Manufacturing
eClerx is a trusted innovation partner that provides technology, data analytics, and process management services to some of the world’s leading brands. Their capabilities span multiple sectors, including digital customer operations and financial markets, leveraging advanced solutions like robotic process automation (RPA) and generative AI. As a globally deployed company, eClerx is dedicated to delivering exceptional outcomes through their adaptable engagement models, ensuring they meet diverse business needs across various industries.
• Ensuring accurate cash positioning • Timely bank reconciliations • Effective monitoring of loan balances and related transactions • Supporting daily treasury operations, and month-end close activities • Compliance with internal controls by maintaining accurate cash and debt records • Working closely with Accounting, Treasury, and external banking partners
• Bachelor’s degree in Accounting, Finance, Business, or a related field (preferred) • At least **5 years** of experience in Cash Management, Treasury Operations, or General Accounting • Strong experience in **bank reconciliations** and cash account management • Proficiency in Microsoft Excel (pivot tables, VLOOKUP/XLOOKUP, reconciliations, data analysis) • Strong analytical and problem-solving skills with high attention to detail • Effective communication skills and ability to work with internal and external stakeholders • Ability to work independently, manage multiple priorities, and meet deadlines
Apply Now🕒 March 14
Senior Management Accountant coordinating month-end close and financial reporting at Greenpark. Collaborating across teams for accurate forecasting and commercial decision-making in a remote role.
🕒 February 25
Accountant managing financial operations for clients remotely in the Philippines. Responsible for bookkeeping, reconciliations, and ensuring compliance with local regulations.
🕒 February 5
General Accountant managing overall financial health by handling transactions and preparing statements at SGS. Ensuring compliance and analyzing data for business decisions.
🕒 February 5
Property Accountant managing full-cycle property accounting for corporations. Responsible for preparing financial statements and overseeing accounts payable and receivable.
🕒 January 25
Staff Accountant managing financial reporting processes at RFA. Requires 3-5 years of accounting experience in a fast-paced environment.