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· Familiar with accounts receivable and cash management modules.
· Monitor bank balances and ensure healthy cashflow for all entities
· Manage interco loans and internal fund transfer
· Prepare cashflow-related reports to HQ daily / weekly / monthly / quarterly / yearly
· Download bank statements and prepare bank reconciliations
· Plan and prepare cashflow projection for the following month and monitor accordingly
· Forecast monthly & yearly cash inflow and outflow
· Raise system requests for cash / bank related matters
· Liaise with auditor for monetary related items
· Liaise with bank personnels for all entities
· Answer queries and solve issues on claim system or claim related matters
· Generate payment requests daily and assist outsourced partners in issues regarding payment approval
· Review and approve non-standard payments
· Create payments in online banking portal
· Adhoc assignments such as bank account opening / closure, submission of Giro form(s), documents filing
· To support any other work or project required by Finance team
Job ID: 144096365