Process customer payments and invoices in a timely manner.
Assist in monthly account reconciliations and general ledger activities.
Oversee billings, credit adjustments, and refunds on monthly basis.
Work with cross-functional teams in resolving financial and revenue related issues.
Perform revenue analysis, calculations and reporting on monthly basis.
Develop new strategies to improve accuracy and timeliness of revenue management.
Determine monthly revenue forecast and identify revenue opportunities.
Determine and review revenue numbers with management on monthly basis.
Work with Tax Manager in tax calculation and filing activities.
Develop internal finance controls based on industry best practices.
Provide assistance to other Analysts and conduct job trainings when required.
Develop revenue recognition policies and revenue generation standards.