Bring your career aspirations to life with AIA Shared Services
Job Description :
Responsible to ensure all finance operations deliverables areas below are completed as per agreed / communicated timeline and in accordance to applicable accounting policies, standards and guidelines.
Accruals and Prepayments :
- Prepare monthly prepayment schedule and amortization entries
- Prepare and complete monthly fixed accrual entries and maintain accrual control worksheet
- Prepare manual accrual (requested by email) and save all the accrual emails into Share Drive as supporting
- Follow up outstanding manual accrual / Nil reply from users
Fixed Assets :
Perform Fixed Assets creation in SAP and insert the assets number in ARIBA purchase requisitionPreform Trial Run of Fixed Asset Depreciation to ensure that proper action on FA can be fixed before closingPreform Actual Run for Fixed Asset Depreciation monthlyPerform AUC transfer upon request with approvalBilling :
Prepare monthly fixed billing to business partner according to group timelineProvide brief explanation and attend business partner's queriesPrepare quarterly true up adjustments based on actual cost incurredPrepare and submit withholding tax document that is required by business partner for settlement purposeIntercompany :
Review and ensure DN / CN receive from Local business unit provided with supporting document such as SOW and settlement agreementPrepare upload template and park document into SAPSave DN / CN and its supporting document Shared Drive in proper order.Prepare settlement summary and send to Local business unit for approval according to the agreed thresholdCommunicate with Treasury team to reserve fund prior to settlementFollow up with BUs regarding the settlement and perform intercompany settlement to Local business unitSend settlement reminder and follow up with Local business unitPerform open items clearing for after perform settlementPrepare monthly ICT Matching Report and perform any necessary action on any outstanding issue identifiedFixed Deposit :
Update all interest income and accrued income for fixed deposit in template from FD statement and upload for postingAR Aging :
Prepare monthly aging report, follow up with Interco Customer for overdue invoices, and provide commentary for reason of non-payment.Reconcile sub-ledger list tally with control accountUpdate and monitor AR credit control as per group policy, not more than 30days settlementBank Reconciliation :
Perform weekly clearing of cash open itemTo investigate and reconcile the differences on a timely basisPrepare Bank Reconciliation Report monthly (N+3)Journal Entries :
Preparation of journal voucher for approvalParking all the Journal Voucher in the SAP systemClearing of open items balance in the SAP system whenever required after the Journal Voucher postingBalance Sheet Reconciliation :
Perform balance sheet accounts reconciliations and resolve the unreconciled / open items in a timely mannerProvide estimated payment and receipts to Treasury team to assist in cashflow planning and projectionReinsurance :
Ensure local BUs provide Inward Reinsurance Templates and the correctness of the number of documents parked by local BUsComplete the upload of Retro Reinsurance templates provided by local BUsSend reminder and follow up on Reinsurance Templates not received to ensure the completeness of the Reinsurance uploadsPerform IC matching and ensure zero variance and any variance supported with justificationPrepare and send Reinsurance Debit Note to local BUsPerform Incoming Receipt of Reinsurance when fund was remitted by local BUsPerform reinsurance settlement to local BUsSend settlement reminder and follow up with un-remitted fund with local BusFinancial Reporting & Analysis :
Prepare local BUs' IFRS templates and analysis on a quarterly basis for submission to Group Finance for consolidation purpose and response all queries relating to the IFRS templates and analysis if any.Assist local BUs in preparing the calculations and postings of delta ledger to derive the Adjusted Net Worth and Economic Balance Sheet position.Assist to prepare monthly management reporting including management account, byline and longsheet reconciliation and report generation and etcHandle audit of local BUs by ensuring timely and quality delivery of items requested by the external auditors by coordinating with external and internal parties.Develop and update Control Checklist, Training Materials and Business Process Manuals as and when new enhancement is identified, implemented and communicated for the current process and workflow to ensure continuity in the teamJob Requirements :
Education : University Degree in accountancy or Accounting Professional Qualification (ACCA, CPA, ICAEW, CIMA, MICPA) OR currently pursuing Internationally Recognized Accounting Qualification (ACCA, CPA, ICAEW, CIMA, MICPA)Preferably 2-6 years of experience in financial and accounting related field in an MNCExperience in a shared services or similar environment providing financial operations services to external / internal stakeholdersKnowledge of accounting standards and principlesKnowledge in the preparation of management and financial reports and analysis will be an added advantageKnowledge of how the SAP Accounting System and Business Intelligence System work and designed, and familiar with using the systems is an added advantage.Good interpersonal and communication skills to deal with local and group personnel at various levels.Ability to work under pressure to meet tight deadlines.Build a career with us as we help our customers and the community live healthier, longer, better lives.
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