Responsible for the daily operation of Accounts Receivable functions, including invoicing, collection, reconciliation, and reporting, while ensuring compliance with internal control procedures and supporting the Chief Accountant / Finance Manager in finance and accounting matters.
1. Check bank statement/ cash, debit note and input accounting entries into accounting systems
2. Issue VAT invoices to customers accurately and on time.
3. Perform monthly review and reconciliation of accounts receivable balances with relevant departments.
4. Monitor and account for customer deposits and other amounts payable to customers.
5. Review and calculate monthly accrued revenue and record accrued revenue entries.
6. Make adjustments for any discrepancies, if any.
7. Prepare monthly internal reporting templates and supporting schedules.