Account Receivable - Kế toán Phải thu
Mô tả công việc
- Calculate and accurately post commissions.
- Promptly investigate all credit card disputes, liaising with the Front Office and the banks.
- The preparation and mailing of account statements to customers on a timely basis and to monitor the subsequent collection of all accounts.
- Process all Credit Applications, ensuring that the clients are notified promptly and professionally.
- Responsible for the timely transfer of the invoices to the city ledger and prompt mailing (or emailing) of the invoices to the debtors.
- To discharge the duties in an effective and efficient manner.
- Process all cheques and payments received accurately and on a daily basis.
- Complete a daily summary of all adjustments related to the City Ledger; ensure that it is distributed as necessary and reconciled with a PMS generated report at end of shift.
- Collate all necessary paperwork to justify credit card refunds and obtain sign off from the management before refunds can be processed.
- Ensure that all Trade Debtors’ invoices are accurate; all services invoiced supported by a valid guarantee of payment and the room rates correct.
- The completion and updating of all individual debtor records.
- To conduct all necessary credit checks on all new credit applicants, to make recommendations according to existing credit policies and to maintain details of credit given to customers.
- Ensure that all credit card transactions are verified for completeness and the accounts formally reconciled on a daily basis.
- Ensure that all debtors trading beyond their normal terms are followed up regularly.
- Answer debtors’ inquiries promptly and effectively.
- To ensure the accuracy of all charges and credits to the various debtor accounts and ensure they are posted on a timely basis.
- Accountable for the accurate processing of all AR accounts.
- In the AR module, set up AR accounts for newly approved credits and ensure creditors’ details are correct at all times.
- To be responsible for the Hotel debtors’ function: processing credit applications, invoicing, debt collection, AR cashiering, reconciliations and month end requirements.
- Issuing invoice/ Debit notes/ Credit Notes
Month End:
- Do monthly closing with the team and prepare audit schedule relating to the AR part.
- Ensure that all Month End reports are printed and forwarded to the Financial Controller to prepare the balance sheet reconciliation.
- Accurately process all Monthly Statements, ensuring that they are mailed promptly.
- Perform ‘month end close’ of the debtors system (in the rare cases where the AR Ledger is not interfaced to the Accounting system).
Yêu cầu công việc
- Works closely with Sales and Front Office Departments.
- Excel
- Directly reports to the Financial Controller.
- To perform other duties as required by the Financial Controller.
- Maintain a good relationship with Front Office and the Sales department.
- Accounting Software
Quyền lợi
Internal Career Advancement
Competitive Salary and Benefit Package
International Working Environment
Cập nhật gần nhất lúc: 2026-01-31 16:00:04








