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🥝 O2C Cash Allocator
Businesslist | kuala lumpur, Malaysia | Posted June 06, 2026
Job Description
Responsibilities
- Ensure clients' and stakeholders' email queries and requests are addressed in a timely manner.
- Allocation of daily receipts received via cash, cheque, electronic fund transfer to the respective debtor accounts.
- Ensure the allocation of receipts are accurately updated on a daily basis into the accounting system.
- Identify and resolve valid or authorized deductions from receipts by entering relevant accounting entries into the accounting system.
- Resolve unallocated receipts by reviewing debtor ledger, payment history and liaising contact via internal or external parties.
- Maintain daily receipts register.
- Perform bank reconciliation in a timely manner.
- Issue/re-issue softcopy/hardcopy of invoices with correct billing details (correct billing entity, address, PO, other billing details) to customers.
- Follow procedures regarding accounting/credit control activities.