Responsible for billing clients, verifying transactions, monitoring incoming payments, posting actual payments and spotting accounting discrepancies and make applicable resolutions to reduce risk of errors in compliance with financial policies and procedures on receivables
Maintaining and update client files and records regarding payments and account statuses including name, addresses and mailing attentions
Preparation of invoice and account reconciliation on a timely manner; assist in the VAT report preparation
Producing monthly financial and management reports related to scope of work
Prepares work to be accomplished by gathering and sorting documents and related information.
Pays invoices by verifying transaction information, scheduling, preparing disbursements, and obtaining authorization of payment.
Obtains revenue by verifying transaction information, computing charges, and refunds, and preparing and mailing invoices.
Collects revenue by reminding delinquent accounts and notifying clients of insufficient or delayed payments.
Prepares financial reports by collecting, analyzing, and summarizing account information and trends.
Maintains accounting ledgers by posting account transactions.
Verifies accounts by reconciling statements and transactions.
Resolves account discrepancies by investigating documentation, recommending stop payments and adjustments.
Maintains financial security by following internal accounting controls.
Secures financial information by completing database backups in the official file storage
Maintains financial historical records by filing accounting documents.
Contributes to team effort by accomplishing related results as needed.
Promotes the following mindsets: (1) what gets measured gets managed; (2) documentation lead time; first time right
Other Tasks And Responsibilities
Performs tasks that may be assigned by management
Job Qualifications / Specifications
Degree in Accounting, Business Management or similar field