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Build your Career with an Industry Leader at our Shared Services Centre in Malaysia.
As a global leader in premium label solutions, our purpose is to deliver the world's best label solutions that help our customers build their brands, while adding value to our employees, our shareholders, and the communities in which we operate.
If you share our vision and believe that you could contribute to the success of our company, we look forward to hearing from you!
Job Highlights:
AP Master Data
Build your Career with an Industry Leader at our Shared Services Centre in Malaysia.
As a global leader in premium label solutions, our purpose is to deliver the world's best label solutions that help our customers build their brands, while adding value to our employees, our shareholders, and the communities in which we operate.
If you share our vision and believe that you could contribute to the success of our company, we look forward to hearing from you!
Job Highlights:
- Hybrid Work Environment
- Conducive Working Environment
AP Master Data
- Periodically review vendor and bank master data to ensure records are accurate and up-to-date.
- Discuss payment terms for new and existing vendors with local business unit Controllers. Ensure approval obtained for any deviation from standard payment terms.
- Review vendor activity and update inactive vendors.
- Ensure accuracy and timely processing of vendor invoice for PO and non-PO items. Review and standardize account coding of expenses.
- Coordinate with team lead and local business unit Controllers to reduce the occurrence of non-PO invoices.
- Ensure GRIR clearing accounts are maintained up-to-date and identify action plans for any long outstanding items.
- Ensure all non-PO invoices are authorized before payment.
- Attain detailed understanding of payment methods and country-specific requirements in integrated (host-to-host) or non-integrated payment portals.
- Ensure payment cycle runs are in compliance with MCC and local regulatory requirements.
- Streamline payment run cycles and coordinate payment requests by local business units.
- Coordinate with team lead and local business unit Controllers to reduce number of ad-hoc payment requests and other payment matters.
- Propose authorization controls for payment run approvals in payment portal.
- Work closely with MCC Corporate Accounting on month-end intercompany balance reconciliation and transactions.
- Work with local business units to ensure compliance with MCC policy on intercompany invoice recognition and payment.
- Bachelor's Degree in Accounting or Finance related, fresh graduates is encouraged to apply.
- Ability to work APAC normal shift / EMEA evening shift, especially month-end.
- Shared services experience is preferred.
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