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Task & Responsibilities:
Cashflow Management
Monitor and manage daily cash position to ensure operational needs are met.
Prepare weekly and monthly cash flow forecasts.
Optimize cash utilization and ensure healthy liquidity levels.
Coordinate fund transfers and ensure accurate recording.
Ensure timely and accurate bank reconciliations.
Banking and Treasury Operations
Manage relationships with banks and financial institutions.
Oversee bank account administration, loan drawdown, repayments, and covenant monitoring.
Handle loan transactions, repayment schedules, and recharge mechanisms.
AP management
Supervise AP team and ensure that all vendor invoices are processed accurately and on time.
Review and approval payment based on authority matrix
Maintain a seamless, efficient process for tracking payments, resolving billing disputes, and ensuring that payments are allocated properly.
Ensure compliance of payment terms and early payment discount optimization
Collection Management
Supervise collection team and ensure that all customer invoices are processed accurately and on time
Monitor collection performance by store .
Take responsibility for reducing overdue receivables and ensuring timely collection of outstanding balances.
Reconciliation and Reporting
Month-end closing collection, AP, cash advance.
Provide insights and analysis on collection efficiency, payment trends, and potential risks related to outstanding accounts.
AP aging analysis and reporting
Reconcile A/R and A/P sub-ledgers with the general ledger monthly, ensuring data accuracy and timely financial close.
Address discrepancies and resolve issues with customers, vendors, or internal team members.
Working Capital Optimization
Monitor Days Payable Outstanding (DPO)
Manage cash conversion cycle
Identiify and propose of working capital efficiency opportunities
Compliance
Ensure that all processes adhere to relevant accounting standards and company policies.
Maintain proper documentation for audit purposes and assist with external or internal audits as needed.
Requirements:
Education : min. S1 in Economic Finance/Accounting Major
Experience :
retail / F&B / multi outlet business more preferable
familiar with high volume and frequency of transactions
6-8 years in Finance & Accounting (combination of AP/AR, GL, treasury), Experience in managing cash flow & banking operations is strongly preferred, Retail/F&B or multi-entity is a plus,
minimum 3 years experience at junior manager.
External auditor background is a plus
Personality : Excellent communication skills with strong problem solving and team management
Job ID: 136148557