Tesis içi - Bulacan1-3 Yıl TecrübeÜniversite mezunuTam zamanlı
Paylaşmak
İş tanımı
A. Billing Operations
Generate accurate and timely invoices for all cold storage services, including storage fees, handling charges, utility charges, value-added services, and other related fees, based on service agreements and operational data.
Verify service consumption data (e.g., cubic meters/pallets stored, inbound/outbound movements, electricity meter readings for blast freezing) with operations records before invoicing.
Ensure all billing calculations are correct and comply with agreed-upon rates and contracts.
Prepare and distribute invoices to clients through various channels (email, mail, electronic portals).
Process credit notes and debit notes accurately and promptly, following established procedures.
Maintain organized and comprehensive billing records and documentation.
Address billing inquiries and discrepancies from clients in a professional and timely manner, coordinating with other departments as needed.
B. Collection Management
Monitor accounts receivable aging reports regularly to identify overdue accounts.
Proactively communicate with clients via phone, email, and formal letters to follow up on outstanding payments.
Negotiate payment arrangements with clients when necessary, in accordance with company policy and under the supervision of the Finance and Accounting Supervisor.
Resolve payment discrepancies and issues by coordinating with clients and internal departments (e.g., Sales, Operations) to ensure timely resolution.
Process incoming payments (checks, bank transfers, cash) and accurately apply them to client accounts.
Prepare bank deposits and ensure daily reconciliation of collections.
Maintain accurate and up-to-date collection records, including communication logs and payment statuses.
Escalate delinquent accounts to the Finance and Accounting Supervisor for further action.
C. Reconciliation and Reporting
Reconcile accounts receivable ledgers with the general ledger accounts regularly.
Assist in the preparation of accounts receivable aging reports and other collection-related analyses for management.
Support the month-end and year-end closing processes related to billing and collections.
Provide data and assistance during internal and external audits related to revenue and receivables.
D. Petty Cash and Revolving Fund Management
Handle requests for petty cash and revolving fund disbursements for operational needs.
Ensure all disbursements are properly documented, approved, and within allowable limits.
Monitor fund balances and prepare timely replenishment requests.
Conduct regular reconciliation and liquidation of all petty cash expenses.
Maintain accountability and audit readiness of all fund transactions.
E. Other Accounting Support
Assist with other general accounting tasks as assigned by the Finance and Accounting Supervisor, such as data entry, filing, and preparing basic financial reports.
Maintain confidentiality of all financial information.
MINIMUM QUALIFICATIONS
Graduate of Bachelor's degree in Accountancy, Financial Management, Business Administration, or a related field
Minimum of 1-2 years of experience in billing, collections, accounts receivable, or a general accounting role
The incumbent will be assigned in Balagtas, Bulacan