Save Job Back to Search Job Description Summary Similar Jobsbe part of the global leading companyExposure to work with other regionsAbout Our ClientOur client is one of the global leader in the industry.Job DescriptionPrimarily responsible for Order-to-Cash operations, including daily sales reconciliation, sales receipt journals, bank transaction journals, and bank reconciliations.Monitor and enhance the performance and efficiency of the RTR function.Prepare journals, reconciliation reports, and accounting analysis to ensure transaction accuracy and completeness.Implement actions to meet and improve KPI targets.Collaborate with the Team Lead and internal stakeholders, including Global Headquarters, local management, and line of business.Work with IT to transition from manual to automated journal entries and matched transactions.Utilize systems and tools to achieve desired business outcomes.The Successful ApplicantProven experience in Order-to-Cash (OTC) processes.Familiarity with finance ERP systems, preferably SAP.Clear articulation in written and spoken English.Advanced skills in MS Office, accounting software, and databases.What's on OfferCareer progressionExposure to work with other regionEnhance AR skillsContactJia Xin LimQuote job refJN-102024-6564176Phone number+60 3 2302 4025Job summaryFunctionFinance & AccountingSpecialisationAccounts ReceivableWhat is your area of specialisation?RetailLocationSelangorContract TypePermanentConsultant nameJia Xin LimConsultant contact+60 3 2302 4025Job ReferenceJN-102024-6564176