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Key Responsibilities:
Prepare and distribute daily revenue and statistical reports, ensuring all revenue transactions are accurately recorded.
Investigate revenue discrepancies and perform necessary adjustments.
Review rebates, allowances, and manual postings to ensure proper authorization and compliance with company policies.
Verify sales collections against receipts and perform reconciliations (such as cash/VISA, Master etc).
Perform reconciliations for sub-ledger vs general ledger, bank statements, and GST (input and output) in accordance with regulatory standards.
Process supplier payments, including overdue accounts, and obtain management approval where required.
Liaise with vendors on invoice and payment matters and coordinate with outlet managers on operational or financial issues.
Prepare journal vouchers (JV) for expenses and other financial transactions.
Assist in month-end closing activities in line with management timelines.
Prepare management reports, including Profit & Loss, Balance Sheet, and Trial Balance.
Maintain audit schedules (e.g., prepayments, accruals) and support both internal and external audit processes.
Perform bank reconciliations and assist with audit confirmations and auditor queries during year-end audits.
Support stock take activities at assigned locations.
Handle guest enquiries or disputes related to billing and invoices.
Ensure adherence to company policies, procedures, and internal controls related to revenue and accounting.
Maintain working knowledge of property management systems, point-of-sale systems, and manual procedures.
Perform any other ad-hoc duties as assigned by management.
Job ID: 147078493