Voyagu
Teams at Voyagu
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Travel
Own monthly close and financial statement preparation (P&L, Balance Sheet, Cash Flow). Reconcile revenue, COGS and gross profit to the GL; manage accruals, payroll, AP/AR, bank reconciliations and payment operations. Produce management reporting, maintain controls and accounting policies, support audits and tax filings, and improve/automate reporting and reconciliation processes. Supervise finance operations staff.
Travel
The Financial Systems Product Owner will oversee the evolution of a financial core for a travel operations platform, focusing on financial lifecycle modeling, reconciliation workflows, and ensuring correctness in financial behavior. They will collaborate closely with engineering and finance to transition the existing systems into production readiness while maintaining operational integrity and trust in the outputs.
Travel
Responsible for managing the contractor lifecycle, ensuring compensation accuracy, supporting payroll processes, and preparing financial reports for contractor payments.
