Management Trainee - Client Reporting
Reviewing posting and allocation of invoices along with the invoice reconciliation. Reviewing the Bookkeeping, Bank reconciliations, Suppliers Reconciliation and maintaining these processes. Perform routine Cashflow Reporting, Raising PO. Supporting in vendor payments and can raise sales invoice and supplier statement. Assisting the leads with Month end and year end reporting. Ensuring the achievement of deadlines of the assigned goals within the specified TAT. Conducting and managing the trainings of new team members. Meet the deadline of the assigned target within the specified TAT. Collaboration with teammates to complete the tasks. Positive and learning attitude.
Trainees with good performance are confirmed as regular employees with a pay raise.