Job Responsibilities
- Booking of vendor invoices in ERP systems.
- Processing advance payments and vendor invoices.
- Performing supplier statement of account (SOA) reconciliations.
- Liaising with suppliers to resolve payment and invoice discrepancies.
- Handling intercompany recharge transactions and reconciliations.
- Coordinating with Group Treasury and local banks for payment processing and cash management.
- Posting journal vouchers (JVs) and maintaining accurate ledger entries.
- Updating fixed asset register and managing prepayment schedules.
- Preparing monthly payment runs for multiple business units.
- Performing balance sheet reconciliations.
- Ensuring VAT compliance and timely filing of returns.
- Reviewing and approving staff expense reimbursements, posting invoices in iFlight, and processing payments.
- Preparing weekly and monthly cash flow forecasts.
- Performing bank reconciliations and resolving discrepancies.
Required Skills / Knowledge
- Solid understanding of accounting principles and VAT compliance.
- Proficient in ERP systems and Microsoft Excel.
- Strong analytical and reconciliation skills.
- Experience with cash flow, payments, and intercompany transactions.
- Good communication skills for dealing with suppliers and banks.
- Detail-oriented and able to manage multiple tasks under tight deadlines.
Experience
- 5 + Years of Accounting Experience preferably in large Multinational.
Education Requirements
- Bachelor’s degree in Accounting, Finance, or related field.
- Professional certification (e.g., ACCA, CPA, CMA) is a plus. 5–7 years of relevant experience in a similar role.
- Strong understanding of accounting principles and VAT regulations.
- Proficiency in ERP systems
- Advanced Excel skills and analytical mindset.
- Excellent communication and interpersonal skills.
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