职位详情
语言要求: 英语/精通 两个星期招聘1-3人
职位描述
Responsibilities
Payment Processing & Reconciliation
-Identify, validate, and reconcile incoming payments from various banking systems.
-Assign payments to open invoices and manage debit balances accurately.
Compliance & Standards
-Ensure adherence to legal, tax, and accounting standards (IFRS & local GAAP).
-Follow established procedures and guidelines precisely and timely.
Exception & Difference Handling
-Identify and post payment differences correctly.
-Manage exceptions in the Order to Cash process.
Collaboration & Communication
-Work closely with the collections team to resolve underpayments and reconcile customer accounts.
-Support cross-functional workshops, training, and projects.
Analysis & Optimization
-Regularly analyze unassigned payments and monitor touchless posting rates.
-Suggest and implement process improvements and assist in documentation and training material creation.
Closing & Audit Support
-Participate in period-end closing activities and support auditors during Hardclose and Fiscal Year End.
-Check pre-payments and collaterals as part of closing processes.
Job Requirements:
-Bachelor’s degree in Finance, Accountancy, or a related field.
-Fresh graduate fresh graduate are welcome to apply.
-Good collaboration skills with external customers and cross-functional teams, including coordination with regional teams.
-Good communication skills in English, both written and verbal, with the ability to work independently under minimal supervision.