Job Description
JOB DESCRIPTION
The Position
You will be:
- Process Account receivable, treasury and inter-company task as per Service level Agreement.
- Process all cash application and remittance reconciliation for assigned countries accurately and within specific timescales.
- Prepare and follow up unidentified open items in clearing account when executing daily/monthly bank reconciliation.
- Liaise with the stakeholder for preparation and transaction posting of Inter-company non trade related debit and credit notes.
- Preparation of monthly reconciliation, highlight and rectify anomalies encountered.
- Generate statement of accounts to the customers.
- Track and resolve disputes and route to local affiliates as and when required.
- Attend to all matters requested for accounts receivable when required.
- Initiate the dunning process and generate reminders for overdue accounts.
- Prepare r...
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