Responsibilities:
· Receiving and verifying invoices from customers
· Matching AR invoice against AP invoice
· Coding and entering corresponding supplier invoices into the accounting system
· Reconciling customers’ SOA and resolving discrepancies against Trading system
· Opening letter of credit to overseas suppliers
· Reconciling accounts payable aging report in Trading system against accounting system
· Communicating with Trading team regarding payment status and disputes
· Assisting with month-end and year-end close activities
· Involve in stock count preparation
· Prepare audit schedule
· Any other ad hoc tasks or projects as assigned
Requirements:
- Diploma in Accounting/ Min GCE N/O levels with Accounting Cert
- Able to work independently and prioritise daily work tasks
- High level of accuracy
- Good communication skill
- Team player, willing to learn and a can-do attitude