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Senior AR and Cash Management Analyst

Posted November 26, 2025
Full-time Not Applicable

Job Overview

Responsibilities:

•Manage effectively incoming (outgoing) cash and financial instruments through bank and transit accounts. Responsible to ensure cash booking, reconciliation, closing activities and reporting are completed timely in compliance with policy and regulations.

• Manage intercompany reconciliation as per Company’s procedures, proactive work with counterparties to improve the reconciliation process and reduce mismatches.
• Analyze the receivables aging balance, overdue and follow up with relevant departments to reduce risk of bad debt losses.
• Risk exposure reporting and turnover declaration of the respective entities.
• Resolve queries that fall within the scope of the assigned responsibilities.
• Key interface role between various Company departments – Treasury, Controlling, Execution, Credit Risk, etc., where the team members can strongly influence customer satisfaction by managing the relationship through communication and actions taken.
• Ensure all individual tasks are achieved, collaborate with team members and contribute to the achievement of team targets and deadlines
 

Qualifications

• Previous accounts receivable/ cash management/credit control/customer service experience face-to-face or on the phone is an advantage
• Experience in process optimization and innovation activities is an advantage
• Experience in a multinational environment is an advantage
• High school, College or University degree (bachelor’s degree in business/finance or a related discipline is a must)
• Good level of English language
• Confident communicator with an ability to use own initiative
• Good organisational and problem solving skills
• Ability to work to strict targets and deadlines, willing to learn
• Accuracy and attention to detail

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