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Senior Associate - RTR @ DHL Group

MYOnsiteFull-time
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About this role

PRIVATE AND CONFIDENTIALJob Responsibilities:

• Ensure all transactions (revenues, provisions, operating expenses etc) are recorded properly and in accordance with the definition set on DPDHL Accounting Manual and International Financial Reporting Standard (IFRS). • Review general or nominal ledger entries regularly to minimize if not eliminate adjusting entries and to detect any under or over statement of expenses on time. • Analyze and compare month on month expenses to attain uniform distribution of cost during the year and make an accrual when appropriate to have consistency in reporting expenses. • Prepare schedules to support balance sheet accounts and ensure that these are reconciled against general or nominal ledger balances immediately after month-end closing (i.e. fixed assets, prepayments, payroll reconciliation, accruals, duty transitory, GRIR reconciliation & etc). Back up all files as part of the disaster recovery plan. • Ensure preparation and distribution of required financial and accounting reports, including management information, in a timely manner. Ensure that all reporting deadlines are consistently met. • Organize and plans work schedules independently to meet service delivery level with minimum guidance and able to take appropriate actions to resolve issues independently without much supervision. • Work according to internal controls (CRSIP) requirement and ensure works are submitted on time to Team Leader or Team Manager for review. • Responsible for intercompany accounting as per service level agreement and highlight or rectify anomalies encountered. • Track and resolve billing disputes and route to affiliates as and when required • Liaise with finance team across various regions for reconciliation, debit/credit notes and any agreed offsets. • Responsible for daily bank entries booking, bank transitory clearing and monthly bank reconciliation for high transaction volumes or larger countries. • Ensure timely and accurate deal settlement and posting of treasury related transactions including intercompany foreign exchange, loan, accrual and actual interest, bank charges and etc.

Job Requirements:

• Possess Bachelor Degree in Finance or Accounting would be much preferred. • Minimum 3 years’ experience in Finance. • Good Knowledge of MS Office including strong command on MS Excel. • Ability to use formal and informal methods to persuade and influence others. • Establishing a course of action to accomplish specific goals. • Excellent communication and report writing skills. • Ability to express well-thought concise and timely oral and written information. • Good team player. • Ability to effectively explore alternatives so as to reach common results. • Demonstrating a high level of commitment, energy, resilience, and tenacity in doing the job. • Attention to detail. • Tolerance to stress. • Passion for delighting customers

Skills

financial reportinggeneral ledgermonth-end closingexpense analysisaccrualsbank reconciliationms excelcommunication skillsreport writingteam collaborationproblem solvingattention to detailcustomer focus

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