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O2C Cash Allocator
Company
Businesslist
Location
kuala lumpur, kuala lumpur
Type
Full-time
Responsibilities
Ensure clients' and stakeholders' email queries and requests are addressed in a timely manner.
Allocation of daily receipts received via cash, cheque, electronic fund transfer to the respective debtor accounts.
Ensure the allocation of receipts are accurately updated on a daily basis into the accounting system.
Identify and resolve valid or authorized deductions from receipts by entering relevant accounting entries into the accounting system.
Resolve unallocated receipts by reviewing debtor ledger, payment history and liaising contact via internal or external parties.
Maintain daily receipts register.
Perform bank reconciliation in a timely manner.
Issue/re-issue softcopy/hardcopy of invoices with correct billing details (correct billing entity, address, PO, other billing details) to customers.
Follow procedures regarding accounting/credit control activities.
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