It's fun to work in a company where people truly BELIEVE in what they're doing!
Job Description
Receive, verify vendor invoices and supporting documents and validate AP journal entries posted on the Oracle accounting system
Check accuracy and completeness against of data entered in the system
Facilitate timely payment to vendors for invoices and bills which are due for payment
Monitor all payments made, update payment status on the system and maintain proper records for future referencing in case of disputes and audit
Interface with users/payment requestors. Respond to payment queries and resolve payment discrepancies with vendors
Perform various Month End Closing Task such as : Accrual Reconciliation, Accrual Listing, Prepayment, Expenses and multiple BS PL reconciliation.
Perform multiple flux analysis and providing comprehensive explanation on assigned account
Support annual financial audit and any ad-hoc assignment as needed
Requirements
Bachelor's Degree in Finance or Accounting
At least 2 years work experience in Finance & Accounting. MNC experience is a plus
Should possess strong skills in Excel Applications and knowledge of ERP accounting software such Oracle is preferred
Must have strong work ethics, organized and detail-oriented
Should have good communication and interpersonal skills. Able to work independently as well as a team member in a fast-paced, dynamic and high-volume environment
Must be proficient in English language, both written and oral
If you like wild growth and working with happy, enthusiastic over-achievers, you'll enjoy your career with us!