Job Description
Job Overview
The purpose of this role is to provide a new hire in experiencing the different functional roles within the Accounting Global Shared Services Center in Kuala Lumpur by rotation before the individual is being placed into a permanent role. The GSSC is performing the Accounting responsibilities for several entities in North America, Europe and Asia.
Key Responsibilities:
1) Record-to-Report (R2R)
• All General Ledger Accounting including, but not limited to
▪ Fixed Assets
▪ Payroll entries
▪ Accrual- and prepaid balances
▪ Accounts receivable
▪ Accounts Payable
▪ Deferred Revenue
▪ Intercompany Accounting
▪ Ensuring that all accounting and reporting is performed timely and in accordance with
(local) GAAP
• Ensure timely preparation of financial statements and full statutory compliance, including local
audits and tax/statutory
• On quarterly basis, review tax compliance including VAT/GST
• Assure all Balance Sheets accounts are fully reconciled and uploaded to reconciliation tool
• Month-end closing (MEC)
2) Revenue
• Analyze, record and close revenue for assigned areas monthly
• Review signed revenue agreements to determine appropriate revenue recognition, based on
e2open revenue recognition policy and US GAAP
• Maintain deferred revenue schedules and recognition of revenue against agreements
• Maintain monthly account reconciliations and General Ledger (GL) activities
• Maintain contract documentation for assigned areas (including contracts, purchase orders,
customer acceptance and other documentation) required for review and external audit
3) Order-to-Cash (O2C)
i) Contracts intake:
• Keep contract and billing data up to date and accurate
• Upload SKU data against contracts in Salesforce to support key reports related to Revenue by
SKU
• Ensure Renewal data is up to date and accurate
• Develops and maintains good working relationships with internal Sales, Finance & Accounting
teams
ii) Billing:
• Ensures PO’s are received on time for billing, proper follow up and escalation as needed.
• Prepares invoice entries and credit memos for respective customers on a timely and efficient
basis.
• Assists with acquisition integration for all newly acquired companies
• Comply with accounting controls by following policies and procedures; complying with local
financial legal requirements.
• Develops and maintains good working relationships with customers, internal Sales & Accounting
teams
iii) Collections:
• Follows up on overdue invoices by email, phone, and/or letter within the agreed upon
timeframe.
• Maintains accurate records of all collection activity
• Regularly contacts customers to ensure all relevant debts are managed as necessary
• Responds promptly and accurately to both client and internal inquiries
• Timely application of cash collections
4) Procure-to-Pay (P2P)
• Processing new vendor setup
• Processing change requests on vendor master setup
• Processing procurement requests
• Processing PO invoices and Non PO invoices in multiple languages and currencies
• Process company credit card statements in accounting system and ensure timely payments.
• Prepares journal entries, recurring entries, and reversing entries
• Monitoring supplier’s payment terms and balances.
• Provides AP helpdesk to the organization in terms of process and queries related to payments
and accounting
• Review, analyze, and respond to external supplier inquiries and perform supplier statement of
account reconciliations
• Payments application and reconciliation of accounts payable ledgers
• Work closely with local countries and other business partners ensure the AP operation runs
smoothly
5) Cash Management
• Daily download of Bank statements
• Timely cash application from customers, including receipt, reconciliation and application of cash
payment as well as chargebacks
• Prepare the details of unallocated and unidentified receipts for local countries to take further
actions
• Liaise with credit controller and billing department regarding the clearance of outstanding cash
receipts from customers, the withholding tax calculation and the weekly collection forecast
• Reconciliation of intercompany data to ensure accuracy and completeness
Qualifications and Experiences:
• Bachelor’s Degree in Accounting – candidates undergoing qualification will also be considered
• Fresh graduate or 1+year experience
• Trustworthy, detail oriented, well-organized and full of integrity
• Ability to problem-solve, both independently and as a team
• Computer skills, including Microsoft Office Suite (Excel, Word, Outlook, PowerPoint, etc.) is
added advantage
• English communicator with ability to maintain open communication with internal employees,
managers and customers as required
• Ability to read, write & speak other languages especially Chinese is an added advantageting and experience with SOX compliance