Summary
To provide administration support to the Director of Finance (DOF) and the Finance Department in general, including taking maintaining files of all correspondence and statistical data.
Job Responsibilities
Credit applications:
- Process credit applications within 10 working days, ensuring that clients are notified promptly and professionally. The credit worthiness of all applicants is formally checked and approval must be received from the Director of Finance.
City Ledger:
- Ensure all invoices / statements are issued on a timely basis.
- Monitor the prompt follow-up of all overdue accounts and minimize the recovery delay.
- Monitors the special billing arrangements for groups and conventions as required to ensure that postings are in line with customer requirements.
Guest Ledger:
- Ensure PX and PM accounts are checked on daily basis and transferred to city ledger within 48hrs from the departure date.
Fixed Asset tagging:
- All fixed assets have to be tagged with Pullman Singapore Hill Street (PSHS) special barcode, which is generated manually by AA.
Fixed Asset listing:
- Records all movements of assets timely according to payment and disposal dates.
- Compute the depreciation according to the PSHS standard and record in the FA listing.
- Perform a monthly journal posting on the depreciation amount.
- Perform a monthly reconcile of the FA listing against balance sheet.
Purchase of new assets and disposal of old assets:
- Verify the completed evaluation form with all supporting documents by the respective Head of Departments (HODs) for the newly purchased asset.
- Verify the completed disposal form with all supporting documents by the respective HODs for discarding old assets.
Other duties:
- To prepare bank reconciliation by first week of every month.
- To check and ensure all Casual Labour claims are comply and tally with the time sheet submitted to Finance.