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Description
You will act as the intermediaries between other departments within the organisation to ensure the accuracy and monthly accounting closing timeline are observed.You will be responsible to ensure day to day financial transactions, including verifying, classifying, computing, posting and checking all accounting related entries submitted by stakeholders are accurate in the system.
RECEIVABLE MANAGEMENT (MAIN ROLES)
- POS Sales Posting to System
- Cash, Credit Cards and eWallets Collections & Reconciliation
- Liaise with Local & Foreign Currency Cash Collection Agents
- Billing & Rebilling of Non-Retail Income, Rebates, Compensation etc. - - Create Slip for Billing & Rebilling in System
- Follow up on AR collections with Vendors
- Creation of Payment Link
- Refund Processing & follow-up with Bank / Payment Platforms
- AR Aging
- Update Billing, Reconciliation, Collections/Contra and Outstanding Status
- Analysis of Billing & Latest Collections Status by Category for Management
- Monthly Sales Statement reporting
- Vouchers verification and On-line submission
CONTROL
Sales Audit Preparation
IFRS 116 Leasing
Depreciation Run
Prepayment
Monthly Spot Check
Requirements
Interest applicants, pls email updated resume to [Confidential Information]
Jessie Hoe Huey Miin
CEI Reg No. R1103861
EA Lic: 99C4599
Job ID: 130170787