Operational B2C Accountant
Job Summary
Roles & Responsibilities :
DEFINITION
Associate responsible for end-to-end processing of standard and moderately complex Bill-to-Cash accounting activities.
Mainly located in Service Centers / regional hubs and responsible for daily weekly and monthly accounting transaction processing.
Works in defined IT systems such as SAP workflow tools and global applications including ESMSSF FCC APM and FEBAN wherever applicable.
Builds required accounting GB / BU / LE and process knowledge through self-learning local training and practical execution.
Collaborates in English and/or local language with resident entities user departments requesters and other stakeholders for clarification and issue resolution.
Expected to identify exceptions process gaps and recurring issues and support timely escalation correction and documentation.
PRIMARY RESPONSIBILITIES
Perform receivables management activities including monitoring open items ageing customer account hygiene and timely follow-up.
Execute end-to-end processing of standard accounting tasks including preparation reconciliation processing and documentation.
Account and reconcile entries related to general ledger sub-ledger and customer ledger ensuring accuracy and completeness.
Post and clear incoming customer payments including payment advice processing and cash application activities.
Support billing related activities such as service invoices self-billing credit notes and price debit notes.
Perform customer reconciliation and ICR reconciliation and coordinate for closure of differences.
Coordinate with resident entities and user departments for service request clarifications billing issues collection follow-up and accounting exceptions.
Prepare weekly and monthly reports including unapplied cash work-on ageing overdue status MIS and other operational trackers.
Support credit management sales order release and related business clarification activities as per defined process scope.
Contribute to export compliance audit support process controls and documentation requirements.
Achieve defined KPIs quality targets and committed service timelines while maintaining control and compliance requirements.
ACTIVITY LIST
Cash application management and accounting of incoming payments.
Customer payment advice posting matching and clearing.
Maintaining customer books hygiene through timely clearing and reconciliation.
Credit management support and coordination for sales order release.
Preparation of weekly and monthly reports including unapplied cash report work-on ageing report and MIS reporting.
Billing activities including credit notes price debit notes self-billing and service invoices.
Customer reconciliation and inter-company reconciliation support.
Collection management and follow-up on overdue receivables.
Export compliance support and documentation wherever applicable.
Identification of process gaps recurring exceptions and automation / improvement opportunities.
VALUE ADDITION EXPECTED
Support reduction of overdue receivables unapplied cash and long-pending customer open items.
Improve accuracy of customer ledger sub-ledger and GL reconciliation outputs.
Strengthen audit readiness through proper documentation reconciliations and clear working papers.
Provide timely MIS ageing insights and exception reporting for management review.
Escalate recurring process issues and support corrective actions to improve process controls.
Support automation reporting standardization and simplification of repetitive manual activities.
Improve stakeholder experience through timely clear and ownership-based communication.
Qualifications :
Educational qualification:
/ / MBA Finance / CA Inter or equivalent commerce / finance qualification.
Experience :
4 years of work experience in Accounts Receivable / Bill-to-Cash domain.
Hands-on SAP experience is mandatory preferably in FI-AR customer clearing billing and reconciliation processes.
Hands-on experience with Microsoft Excel PowerPoint and Word is mandatory.
Knowledge of Power BI Power Automate and advanced reporting tools will be advantageous.
Ability to work independently and collaboratively in a team environment.
Good communication interpersonal analytical and problem-solving skills.
Attention to detail ownership mindset and ability to manage multiple operational priorities are preferred.
Mandatory/requires Skills :
Accounting Knowledge: Customer ledger sub-ledger GL accounting reconciliations and AR process understanding.
SAP and Tools: SAP FI-AR / SD integration awareness workflow tools Excel and reporting tools.
Analytical Ability: Ageing analysis exception monitoring root cause review and structured follow-up.
Control Mindset: Process compliance audit readiness documentation and timely escalation of exceptions.
Stakeholder Management: Coordination with resident entities user departments customers and internal teams.
Improvement Orientation: Ability to suggest automation standardization and productivity improvement opportunities.
Preferred Skills :
Strong analytical skills and attention to detail is a MUST
Experience with tools such as Power BI/Tableau is preferred
Ability to work independently and collaboratively in a team environment
Excellent communication skills and interpersonal skills
Remote Work :
No
Employment Type :
Full-time
About Company
Bosch first started in Vietnam with a representative office in 1994. Bosch has its main office in Ho Chi Minh City, with branch offices in Hanoi and Da Nang, and a Powertrain Solutions plant in the Dong Nai province to manufacture pushbelt for continuously variable transmissions (CVT) ... View more