Cash Management Analyst
Key Job Duties & Responsibilities
- Perform daily checks to ensure AR and AP transactions are accurately matched with bank statement transactions
- Prepare weekly summaries of unreconciled items and coordinate with relevant Finance teams to ensure timely posting before month‑end close
- Prepare and post bank reconciliation entries and perform bank reconciliations
- Prepare recurring and one‑time journal entries as part of the monthly close
- Reconcile balance sheet accounts and investigate variances to ensure accuracy
- Prepare ad‑hoc reports and analyses as requested by Corporate Finance
Skills & Qualifications
- Fresh graduates are encouraged to apply
- Diploma or Degree in Accounting, Finance, or equivalent
- Basic understanding of accounting concepts
- Willingness to learn and ability to follow instructions
- Able to work under minimal supervision and meet deadlines
- Good communication skills, including interaction with overseas stakeholders
- Exposure to ERP systems is an advantage; Oracle E‑Business Suite preferred
Working Conditions
- This role is hybrid
Culture Commitment
Ensure adherence to company’s values (ICARE) in all aspects of your position at Coherent Corp.:
Integrity – Create an Environment of Trust
Collaboration – Innovate Through the Sharing of Ideas
Accountability – Own the Process and the Outcome
Respect – Recognize the Value in Everyone
Enthusiasm – Find a Sense of Purpose in Work