· In charge of monthly account closing of entities.
· In charge of monthly AR billing and Vessel Operating Cost review (based on allocated vessels).
· Post AP invoices, journals and payments into Microsoft Navision.
· Perform vendors reconciliation.
· Prepare monthly payment cycle for vendors.
· Attend to vendors on payment status and liaise with t...
· In charge of monthly account closing of entities.
· In charge of monthly AR billing and Vessel Operating Cost review (based on allocated vessels).
· Post AP invoices, journals and payments into Microsoft Navision.
· Perform vendors reconciliation.
· Prepare monthly payment cycle for vendors.
· Attend to vendors on payment status and liaise with t...
[Order Number: 612023]
Financial Leasing firm
Hybrid working arrangement provided
Responsibilities
Engage with clients regarding billing and payment procedures
Provide assistance in managing covenants and monitoring credit
Handling KYC requirements for both lending and principal roles
Collaboration with financial institutions on admi...
[Order Number: 612023]
Financial Leasing firm
Hybrid working arrangement provided
Responsibilities
Engage with clients regarding billing and payment procedures
Provide assistance in managing covenants and monitoring credit
Handling KYC requirements for both lending and principal roles
Collaboration with financial institutions on admi...
Trade Operations Assistant |Import & Export | Letter of Credit | Orchard
Salary: $3,000 - $3,300 (Can be adjusted depends on experience)
Working Location: Ngee Ann City Tower, Orchard
Working Hour: Monday - Friday (9am - 6pm)
Job Description:
• Liaise closely with both our Customers and Suppliers regarding enquiries and offers.
• Prepar...