Responsibilities:
Verify the accuracy of invoices and appropriate documentation with approval before paying to supplier/vendor.
Ensure the payment are compliance with Group policy and Procedure
Ability to process and follow up on rush items
Prioritize invoices according to cash discount potential and payment terms
Provide monthly Account Payable Aging report
Review weekly withholding tax report from the bank
Provide monthly withholding tax (PND 3 and 53) report to GL
Support all others tasks to Finance Manager
Qualifications:
Bachelor’s Degree in Accounting or Finance
Minimum 5 years experience in Cash Management, preferably in multi-international company.
Able to handle-task in finance process with tight deadlines
Able to contact the bank in banking facilities,FX transaction and Bank Guarantee
Familiar with retail business and Oracle is a plus
Computer literacy preferable in Microsoft Excel, Oracle will be a plus.
Fair command of spoken and written English
Interested person please submit your application letter together with resume stating your career brief and success stories, a contacted telephone number and a recent photo to: