AR/AP Specialist (Full-time)
- Department : Finance
- Job Type: Full-time
- Reports To (list day to day Manager) : Credit Controller
Purpose/Summary: To effectively manage AR/AP task as a working capital management’s team member.
Key Responsibilities:
– Accounts Receivable:
- Check with bank statement
- Call (included status recording for each call)
- Follow up with payment plan from customer
- Send statement to outstanding customers
- Unidentified receipts (don’t know customer and have to contact HSBC for details then call customer)
- Reconcile between Customer & Damco/ when mismatch between receipt and system
- Prepare weekly bank clearing report
- Push related parties for refund
- Refund to customers due to wrong transfer
- Update comment for weekly call
- Checking receipts based on Operation team’s request to release doc
– Accounts Payable:
- Meeting/answer question from Operation team, support on payment/payable issues
- Communicate with GSC on daily activities, with Region/Center for accounting/reporting issue
– Others
- Other assignments and projects assigned by Credit Controller or Finance Manager
Position Specifications/Requirements:
- Good communication skills (good in English, speaking and writing)
- Result-oriented with initiative and strong drive.
- Good time management
- Be able to work independently and willing to co-ordinate with other team colleagues.
- Good computer skills (Word, Excel, Outlook).
- Internal and External customer interface
- Knowledge of Billing and Collections procedures
- Accounts Receivable/Payable knowledge/experience is a plus
- Strong attention to detail, goal oriented
- SAP experience is a plus
Learning and career opportunities:
- Exciting and dynamic working environment and culture
- Learning and execute SAP
- Learning on working capital management
- Learning Logistics and in-house customs business activities
- On line training courses, on job training courses
Collection & Tax Assistant (Temporary)
- Department : Finance
- Job Type: Temporary (9 months)
- Reports To (list day to day Manager) : Credit Controller
Purpose/Summary: To manage high volume phone calls to assigned customers and prepare monthly VAT & FCT declaration.
Key Responsibilities:
– Accounts Receivable:
- Check with bank statement
- Call (included status recording for each call)
- Follow up with payment plan from customer
– Tax:
- Check & revise Input VAT report (on local language) from Global Outsourcing Accounting Service (GSC)
- Check & revise Output VAT report from GSC
- Make VAT return and send to Tax Manager’s checking
- Send & Follow up VAT return for submitting to Tax department after getting signature on VAT return
- Make the using invoice reports
- Check & verify FCT from WHT payable list of GSC
- Make FCT return, send to Tax manager’s checking
- Prepare WHT posting file then send to GSC
- Get Doc number & recheck GL after posting
- Reconciliation VAT
Make reconciliation Input VAT between Tax Return and GL (between hardcopy VAT of supplier/vendor with pay- run and between
Make reconciliation output VAT between Tax Return and GL (between Billing document creation and VAT invoice printed)
Follow up for mismatch of above reconciliations with GSC
Identified the tax risk of any above mismatch - Make CIT return for tax manager’s checking
- Make manual or internet banking payment
- Output Invoice
Check request of canceling invoice from Ops & GSC and confirm to Tax Manager
Follow up cancellation minute & amendment minute
Check & File the cancelled invoices received from counter
Arrange invoice hard files - Checking Supporting Document of Billing Documents (BD) creation
Check the available of supporting Doc of BD with 0% VAT rate.
Send the list BD (0% VAT rate) without supporting doc to GSC for their update.
Follow up their further action - Checking Supporting Document of Purchase order (which paid to oversea)
Check the available of supporting Doc of PO (which paid to oversea).
Send the list above PO without supporting doc to GSC for their update.
Follow up their further action - Reconcile between cash collected by bank teller & invoice cleared by counter staff + storage invoice
- Others
Other assignments and projects assigned by Credit Controller or Finance Manager
Position Specifications/Requirements:
- Good communication skills (especially phone call)
- Good time management
- Basic computer skills in Excel
- Internal and External customer interface
- Knowledge of Billing and Collections procedures
- Accounts Receivable knowledge/experience a plus
- Commitment to excellent customer service
- Ability to prioritize and manage multiple responsibilities
Learning and career opportunities:
- Exciting and dynamic working environment and culture
- Learning and execute SAP
- Learning Logistics and in-house customs business activities
- On line training courses, on job training courses
Deadline: 24/07/2015
Contact: Ms. Trương Lê Trúc Minh – HR Generalist, Damco Việt Nam – minh.truong@damco.com
CẦN THÊM THÔNG TIN? CHÚNG TÔI Ở ĐÂY ĐỂ HỖ TRỢ BẠN