Account Reconciliation: Regularly reconcile bank statements with internal records, identify discrepancies, and coordinate corrections as needed.
Assisting Month-End and Year-End Close: Support the accounting team in closing financial periods by compiling supporting documents, preparing necessary schedules, and ensuring all relevant transactions are captured.
Maintaining Ledgers: Update and maintain the general ledger and subsidiary ledgers for accounts payable, accounts receivable, fixed assets, and inventory.
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Plan and arrange office filing systems in proper manner.
Undertake general office duties including dealing with incoming post, fax and emails, drafting and sending standard letters and emails, scanning documents and etc.
Ensure all enquiries from external parties, both internal and external customers are effectively dealt with to a satisfactory conclusion.
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We believe Vantive will not only build our leadership in the kidney care space, it will also offer meaningful work to those who join us. At Vantive, you will become part of a community of people who are focused, courageous and don’t settle for the mediocre. Each of us is driven to help improve patients’ lives worldwide. Join us in advancing our mission to extend lives and expand possibilities.
There has not been a more exciting time to join Baxter. We are in the midst of a transformation that is building a world-class finance organization. Baxter Business Services is a group dedicated to providing centralized service to many of Baxter’s core business processes. Now we need you!
Join us at the intersection of saving and sustaining lives — where your purpose accelerates our mission.
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Contract Review: Assist in reviewing client contracts and service agreements to ensure billing terms, pricing structures, and payment schedules are correctly implemented in the accounting system.
Routine Reporting: Prepare and distribute accurate monthly, quarterly, and annual financial reports, including Profit & Loss (P&L) statements, balance sheets, and cash flow reports.
Client-Specific Reports: Generate customized financial summaries and performance reports for clients to provide transparency regarding their account status and ROI.
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