This position will function to support the Accounting & Finance Department.
Position Responsibilities
The incumbent is expected to perform the following functions that the company has determined are essential to this position:
Receive and process monthly remittance details received from the customer
Post cash based on detail received from the remittance
Reconcile monthly cash receipts received from the customer to internal control sheets
Research unpaid items immediately after posting cash - Reconciliation report is done monthly
Create customer statements and email to customers each month
Review monthly aging and report unpaid items to A/R Assistant Manager or Senior Manager
Issue debits/credits to inter-company related plants based on information received from the customer (ASN -Pricing - Qty - Returns - Rework - Warranty)
Create and offset invoices and credits for reconciled items