Job Details
Job Description
AR/ AP Management
- Reconcile sales and purchase transactions to ensure accuracy.
- Manage collections from customers and ensure timely AR settlement.
- Prepare, verify, and process payment vouchers to facilitate timely and accurate disbursements.
- Monitor outstanding receivables and payables and inventory, follow up on overdue accounts, and maintain up-to-date aging reports.
- Prepare, record, and reconcile all transactions related to GST, ensuring proper documentation and compliance with relevant tax regulations.
Cash Flow Management
- Manage daily cash inflows and outflows to ensure sufficient liquidity for business operations.
- Prepare cash flow forecasts and analyses on a daily, weekly, and monthly basis, including investment plans.
- Coordinate with relevant departments to forecast future income and expenses.
Risk Management
- Monitor exchange rate movements and economic trends that may impact the company.
- Develop and recommend strategies to manage and mitigate foreign exchange risks.
Banking & Credit Management
- Negotiate and coordinate with the bank on credit facilities, interest rates, and related financial terms and fees including internet banking
- Prepare required documentation and financial information for credit applications or other banking services.
Financial Analysis & Reporting
- Prepare monthly and annual financial performance reports and analyses to support strategic decision-making.
- Analyse budget versus actual performance and provide variance explanations with recommend improvements.
Other Responsibilities
- Support external audit activities and help improve financial reporting processes.
- Coordinate effectively with the accounting and finance team at Malaysia and Bangkok office.
- Assist in generating invoices when required
- Participate in Team project related to Finance