Accounts Payable & Invoice Processing
- Assist in receiving, reviewing, and processing supplier invoices, delivery orders (DO), purchase orders (PO), and other supporting documents to ensure accuracy and completeness.
- Perform three-way matching of purchase orders, goods received notes (GRN), and supplier invoices before processing payments, where applicable.
- Assist in recording and updating accounts payable transactions in the company's accounting system, ensuring accurate invoice coding and proper documentation.
- Support the preparation of supplier payment schedules, payment vouchers, and other payment-related documentation for review and approval by the Finance team.
F&B Purchasing & Supplier Coordination
- Liaise with the Supply Chain, Central Kitchen, and Operations teams to resolve discrepancies involving supplier invoices, purchase orders, delivered quantities, pricing, and goods received.
- Assist in monitoring supplier statements, outstanding invoices, credit notes, and payment status to support timely settlement of supplier accounts.
Financial Reconciliation & Documentation
- Support monthly supplier statement reconciliation and assist in identifying discrepancies between supplier records and the company's accounting records.
- Maintain accurate and systematic filing of invoices, payment vouchers, receipts, supplier statements, and other financial documents for audit and internal reference.
- Assist in preparing accounts payable reports, outstanding payment summaries, and supporting schedules for monthly financial closing.
Compliance & General Finance Support
- Ensure all financial transactions and supporting documents comply with the company's financial policies, approval procedures, and internal controls.
- Assist with other finance-related administrative duties, ad hoc assignments, and departmental projects as assigned by the Finance Manager or immediate supervisor.