LUXASIA is the leading beauty omnichannel distribution platform of Asia Pacific that has successfully enabled brand growth for more than 100 luxury beauty brands. Our integrated brand-building capabilities include luxury retail, online commerce, consumer marketing, and supply chain management. Since 1986, the company has partnered the world’s finest brands, such as Aveda, Bvlgari, Calvin Klein, Diptyque, Hermes, La Prairie, Montblanc, and SK-II. We have also established Joint Ventures with the likes of LVMH Group, Elizabeth Arden, Puig, Yves Rocher, and By Terry. At the core of our business is a diverse and dynamic #OneTeam of 2000 talents that shape the face of luxury beauty, and delights consumers daily across our growing footprint of 15 markets.
At LUXASIA, we believe there is beauty within every talent – that is you.
We grow you by building your competencies and unleashing your potential. We have curated a vast portfolio of over 100 luxury brands across Asia Pacific, and growing. Your work will enrich the lives of millions of consumers across the region. With us, you get to be an entrepreneur, running the business like it is your very own. We give you the autonomy but not without guidance and genuine care. We are a diverse and inclusive team that is courageously innovative. Together as #OneTeam, we celebrate differences, embrace change, explore new ideas, take risks, fail fast, and drive results. While challenges at work are inevitable, the journey promises to be fulfilling.
With LUXASIA, an exciting career filled with robust professional growth awaits you. Isn’t that beautiful?
The Accounts Receivable Specialist will be responsible for managing daily AR functions, ensuring timely and accurate cash applications, performing sales reconciliations, and supporting the overall financial efficiency of the organization. The role involves tracking and monitoring payments, handling invoice issuance, and working closely with local teams to resolve discrepancies. This position will also support ad hoc financial requests as needed.
Validate and match receipts to the bank statement.
Apply cash to respective invoices.
Perform sales reconciliations between system records and customer records.
Follow up with local teams on any variances.
Conduct daily reconciliation for outlets to ensure accuracy.
Ensure timely billing to meet payment cycle deadlines.
Issue invoices as required.
Track and monitor receipts to ensure they are within the terms of payment agreements.
Provide full support for the month-end close in line with the deadline.
Provide support on special requests and additional projects as needed.
Requirements
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Finance Assistant • Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia