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Job Responsibilities:-
- Support Order to Cash (OTC) activities on bonus calculation and payment process to Amway Distributors.
- Perform accounts reconciliation and advise journal entries for ledger posting.
- Handle bonus related inquiries that raise from customer service team.
- Handle Distributors WHT Tax details preparation.
- Liaise with affiliate to ensure smooth closing of Month end activities.
- Support migration activities from Affiliate to Shared Services Center and deployment to new system.
- Work closely with team members and stakeholders to implement process improvement.
- Ensure Service Level Agreement and monthly performance and productivity KPIs are met.
- Ensure a high standard of customer service is always maintained.
Job Requirements:-
- Degree in Accounting / Business – major in Management, Accounting, Finance with working experience of at least 6 years (preferably in similar field or in shared services center).
- Basic knowledge and experience of MS Office tools, especially in MS Excel.
- Having experiences in system migration, knowledge in using ERP system (Oracle EBS)
- Strong accounting knowledge will be an advantage.
- Proficiency in Mandarin & English with good communication and writing skills.
- Team oriented – able to work in a team and with others of multi-functional teams.
- Able to accept challenges.
- Able to work within tight deadline.
- Positive working attitude with personal responsibility and integrity.