The IKEA vision is to create a better everyday life for the many people. We do this by offering a wide range of well-designed, functional home furnishing products at prices so low that as many people as possible can afford them. We operate in Singapore, Malaysia and Thailand – and have an ambitious expansion plan to bring a little bit of Sweden to new markets in the region. We are part of the Ikano Group of companies and the only IKEA franchisee owned by the Kamprad family that founded IKEA.
We also develop, own and operate Shopping Centres that are anchored by IKEA and create walkable communities by including residential, office and other types of real estate in our development plans.
We work towards making sustainability a natural part of our everyday work. We are active in our communities, driving and supporting social initiatives that benefit children, women and the environment.
We want to fill this position with a hands-on and detailed individual who can support the needs of the business as we grow as an organization by ensuring accurate and timely work practices. This role focuses on Account Payables.
Receive, verify & post invoices from local/foreign suppliers to ensure correctness and completeness of supporting documents. e.g. tax invoice, receipt, purchase order.
Verify claim verification, approval and transaction posting for Staff/ Travel Claims.
Assign account code and business dimension for each invoice and post into MVBC.
Prepare payment for local/ foreign suppliers.
Liase with vendors on payment related queries and email payment remittance to suppliers.
Monthly reconciliation of ISMY statement of accounts against vendor ledger.
Corporate Credit card reconciliation and payment process.
Prepare monthly vendor aging report and follow up on the long outstanding invoices.
Accounting Schedule/GL Reconciliations in respect of Purchase and Vendor
Updating payment amount in cashflow file.
Submission of WHT/SST in IRB/Customs Website.
Liaise with internal/external auditor in payable area.
Perform monthly bank reconciliations and monitor cashflow.
Support assistant accounting manager/accounting manager when needed.
Support the Store AP team when needed.
Accounting documents archiving.
Other ad hoc tasks related to accounting and finance.
What do you want to do differently in your next role? Why? What impact is it going to have on you and others? Please apply by 31 March 2025.