Job Responsibilities
- Responsible in checking of invoices & Purchase Orders received from Cost Control/Receiving, ensures the accuracies of the invoices against the Purchase Orders and to ensure invoices are posted into the accounting system timely.
- Ensures all Delivery Orders are stamped and duly signed by Receiving Office (or Security Office during non-office hours).
- Reconcile monthly vendors’ Statement of Account, liaise with vendors on discrepancies (if any) to ensure up-to-date accounts payable records.
- Responsible in the timely preparation of all modes of payment to suppliers after approval by respective department heads/authorized personnel.
- Prepares month-end closing journals, generates creditors aging listing at month-end and to ensure the balances tally with the General Ledger.
- Involves in expenses variance analysis during month-end closing.
- Assists in reconciliation of GST Input Tax on a monthly basis.
- Assists when required in sighting of fixed assets for disposal or tagging of new fixed assets.
- Participates in the twice-yearly exercise of the Hotel’s operating equipment count.
- Any other tasks as and when assigned by the Finance Manager or the management.
Education & Work Experience
- GCE ‘O’/‘A’ Level with LCCI in Accounting or Diploma in Business Studies /Accountancy or similar qualifications
- 2 years’ experience in accounts payable, preferably in a hotel environment
- Possesses good analytical skills
- Proficient in accounting principles with working knowledge in a computerized accounting environment, especially SAP preferred
- Proactive, meticulous and independent individual.