Job Description
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<td class="xl68" colspan="4" height="20" style="border:none; border-right:1.0pt solid black; height:15.0pt; width:584pt; vertical-align:top; border-width:1pt 0.5pt 0.5pt; border-style:solid; border-color:windowtext; padding-top:1px; padding-right:1px; padding-left:1px; white-space:nowrap" width="777"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Lead & supervise the entire AR function & related processes.</span></span></span></span></span></span></td>
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<td class="xl68" colspan="4" height="19" style="border:none; border-right:1.0pt solid black; height:14.4pt; vertical-align:top; border-width:1pt 0.5pt 0.5pt; border-style:solid; border-color:windowtext; padding-top:1px; padding-right:1px; padding-left:1px; white-space:nowrap"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Review revenue reports for accuracy and compliance with the company's revenue policy.</span></span></span></span></span></span></td>
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<td class="xl73" colspan="4" height="19" style="border:none; border-bottom:0.5pt solid windowtext; border-right:1.0pt solid black; height:14.4pt; vertical-align:top; border-top:0.5pt solid windowtext; border-left:0.5pt solid windowtext; padding-top:1px; padding-right:1px; padding-left:1px; white-space:nowrap"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Prepare Month on Month trends of revenue & provide a commentary for Financial Planning & Analysis</span></span></span></span></span></span></td>
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<td class="xl76" colspan="4" height="20" style="border:none; border-bottom:1pt solid windowtext; border-right:1.0pt solid black; height:15.0pt; vertical-align:top; border-top:0.5pt solid windowtext; border-left:0.5pt solid windowtext; padding-top:1px; padding-right:1px; padding-left:1px; white-space:nowrap"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Working closely with FP&A headto track the Revenue budget against actuals and provide the remarks for major variances.</span></span></span></span></span></span></td>
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<td class="xl65" colspan="3" height="20" style="border:none; border-bottom:none; height:15.0pt; vertical-align:top; border-top:none; border-right:none; border-left:0.5pt solid windowtext; padding-top:1px; padding-right:1px; padding-left:1px; white-space:nowrap"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">To coordinate with statutory, cost & internal Audit to complete the Audit within stipulated timelines.</span></span></span></span></span></span></td>
<td class="xl67" style="border:none; border-bottom:none; vertical-align:top; border-top:none; border-right:1pt solid windowtext; border-left:none; padding-top:1px; padding-right:1px; padding-left:1px; white-space:nowrap"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif"> </span></span></span></span></span></span></td>
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<tr height="19" style="height:14.4pt">
<td class="xl68" colspan="4" height="19" style="border:none; border-right:1.0pt solid black; height:14.4pt; vertical-align:top; border-width:1pt 0.5pt 0.5pt; border-style:solid; border-color:windowtext; padding-top:1px; padding-right:1px; padding-left:1px; white-space:nowrap"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Review Debtors- Prepare an action plan for collections and be on top to streamline it.</span></span></span></span></span></span></td>
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<td class="xl70" colspan="4" height="19" style="border:none; border-bottom:0.5pt solid windowtext; border-right:1.0pt solid black; height:14.4pt; width:584pt; vertical-align:top; border-top:0.5pt solid windowtext; border-left:0.5pt solid windowtext; white-space:normal; padding-top:1px; padding-right:1px; padding-left:1px" width="777"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Resolve discrepancies and issues related to invoices, sales orders, and payments by communicating with internal departments.</span></span></span></span></span></span></td>
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<td class="xl70" colspan="4" height="38" style="border:none; border-bottom:0.5pt solid windowtext; border-right:1.0pt solid black; height:28.5pt; width:584pt; vertical-align:top; border-top:0.5pt solid windowtext; border-left:0.5pt solid windowtext; white-space:normal; padding-top:1px; padding-right:1px; padding-left:1px" width="777"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Assist with month-end closing activities, including reviewing AR activities and ensuring all accounts receivable transactions are accurately recorded.</span></span></span></span></span></span></td>
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<td class="xl73" colspan="4" height="19" style="border:none; border-bottom:0.5pt solid windowtext; border-right:1.0pt solid black; height:14.4pt; vertical-align:top; border-top:0.5pt solid windowtext; border-left:0.5pt solid windowtext; padding-top:1px; padding-right:1px; padding-left:1px; white-space:nowrap"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Review and analyze accounts payable aging report, identifying and resolving any overdue payments or outstanding issues.</span></span></span></span></span></span></td>
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<tr height="46" style="height:34.5pt">
<td class="xl70" colspan="4" height="46" style="border:none; border-bottom:0.5pt solid windowtext; border-right:1.0pt solid black; height:34.5pt; width:584pt; vertical-align:top; border-top:0.5pt solid windowtext; border-left:0.5pt solid windowtext; white-space:normal; padding-top:1px; padding-right:1px; padding-left:1px" width="777"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Assist in implementing process improvements and streamlining accounts receivable procedures to enhance efficiency and accuracy.</span></span></span></span></span></span></td>
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<tr height="19" style="height:14.55pt">
<td class="xl73" colspan="4" height="19" style="border:none; border-bottom:0.5pt solid windowtext; border-right:1.0pt solid black; height:14.55pt; vertical-align:top; border-top:0.5pt solid windowtext; border-left:0.5pt solid windowtext; padding-top:1px; padding-right:1px; padding-left:1px; white-space:nowrap"><span style="font-size:11pt"><span style="font-weight:700"><span style="color:black"><span style="font-style:normal"><span style="text-decoration:none"><span style="font-family:Calibri,sans-serif">Generate reports and provide analysis on accounts receivable activities as required by management.</span></span></span></span></span></span></td>
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