The role
Receivables:
Retrieve transactions from all banks on daily basis, prepare booking in accounting software and reconcile bank balance with bank statement
Match bank/cash reciepts and outstanding premiums & commssions in brokerage software
Follow up and send pending receipts to Brokers for clarification
Contact Clients and Brokers for due premium & commission
Reconcile receivables balance in accounting software
Payables
Prepare, review weekly statement of accounts before sending to all insurers for confimation.
Reconcile due premium & commission with insurers for payment/ collection
Correct mismatch information of insurance policies
Arrange settlement/ collection voucher in brokerage software
Invoice issued and deliver to insurers and client
Follow up unpaid commisison and remind for payment
Reconcile payables balance in accounting software
Reinsurance
Prepare, review weekly statement of accounts for reinsurance policies
Review reinsurance documents and arrange payments to reinsurers
Financial Planning and Analysis
Support Finance Head to prepare budgets, forecasts of WTW Vietnam
Pepare monthly financial reporting and analysis to meet the Group’s and local management requirements
Prepare business analytics and other financial analysis as required by the Local Management
The requirements
University degree of accounting or finance
At least 3 years working as an accountant of a foreign-invested company
Hard working and can work under high pressure
Careful and responsible for the assigned jobs
Good MS office skills, especially Excel
Good communication/persuasion skills
Fluent in both English and Vietnamese
Willis Towers Watson is an equal opportunity employer

At WTW (NASDAQ: WTW), we provide data-driven, insight-led solutions in the areas of people, risk and capital. Leveraging the global view and local expertise of our colleagues serving 140 countries and markets, we help you sharpen your strategy, enhance organizational resilience, motivate your workforce and maximize performance.