Job Summary
The Assistant Credit Controller provides
direct support to the Credit Controller across all Group entities and
international operations. The role is primarily responsible for timely and
accurate invoicing, credit note processing, collections, revenue recognition,
and deferred revenue management, while maintaining strong internal controls and
compliance. Bank reconciliations are performed on an ad-hoc basis as required.
In addition to operational
responsibilities, the role is expected to leverage digital tools, automation,
and data analytics to improve finance processes, enhance reporting, and drive
operational efficiency.
Key Responsibilities
Accounts Receivable & Billing
- Perform timely and accurate billing for Singapore customers,
including corporate clients.
- Generate invoices for international students, University
Alliance (UA) partners, and ATP students, including instalment-based
billing.
- Verify the validity and compliance of UA contracts prior to
invoicing.
- Collaborate with internal stakeholders to ensure billing
accuracy and completeness.
Collections & Credit Control
- Monitor and manage the Group's accounts receivable to ensure
timely collections.
- Prepare weekly Accounts Receivable Aging reports and work
closely with the International Sales team to review overdue accounts and
develop collection strategies.
- Follow up with customers and stakeholders to resolve
outstanding receivables and minimise bad debts.
- Update collections received and prepare periodic ATP collection
reports.
Credit Notes & Revenue Management
- Issue Credit Notes (CN) accurately for customer adjustments and
student withdrawals.
- Ensure all Credit Notes are properly recorded in the Accounts
Receivable and Deferred Revenue records.
- Maintain accurate Deferred Revenue schedules for University
Alliance (UA) and ATP programmes.
- Update the MSR module with End of Course (EOC) and test dates
to facilitate accurate revenue recognition.
- Ensure deferred revenue balances are accurately maintained and
recognised in accordance with applicable accounting standards.
Grant Administration (SFC & PSEA)
- Monitor and track SkillsFuture Credit (SFC) and Post-Secondary
Education Account (PSEA) grant applications submitted by students,
ensuring completeness and timely processing.
- Coordinate with the relevant government portals to facilitate
the release and disbursement of SFC and PSEA funds to the Group’s
entities.
- Apply released grant amounts accurately to the respective
student AR accounts and ensure proper offset against outstanding balances.
- Reconcile SFC and PSEA grant receipts against AR records and GL
postings, and follow up on any pending, rejected, or unmatched claims.
Financial Controls & Reconciliations
- Perform bank reconciliations on an ad-hoc basis as required,
and investigate any unreconciled or outstanding items.
- Maintain and update AR funding records accurately.
- Work closely with relevant stakeholders to ensure funding
arrangements are billed correctly.
- Reconcile Accounts Receivable balances and ensure financial
records are complete, accurate, and supported by appropriate
documentation.
- Ensure proper documentation and audit trails are maintained for
all AR transactions.
Process Improvement & Digitalisation
(Added Advantage)
- Identify opportunities to streamline and automate finance
processes.
- Knowledge of Power BI, Power Query, Power Automate, and AI
Agentic technologies to improve reporting and workflow efficiency is an
advantage.
- Develop dashboards and automated reports to support management
decision-making.
- Participate in finance transformation initiatives and
continuous process improvement projects.
Stakeholder Management
- Work collaboratively with Finance, Sales, Academic Operations,
and other business units to resolve billing and collection issues.
- Communicate effectively with both internal and external
stakeholders regarding invoicing, collections, account reconciliation
matters, and payment discrepancies.
- Escalate issues promptly while recommending practical
solutions.
Requirements
Qualifications & Experience
Education
- Bachelor's Degree in Accountancy, Finance, or a related
discipline.
Experience
- 3–5 years of relevant experience in Accounts Receivable, Credit
Control, Billing, or Finance Operations.
- Experience managing high-volume invoicing, collections,
deferred revenue, and revenue recognition across multiple countries or
entities would be an advantage.
- Experience supporting billing and AR operations across
international or multi-country operations would be an advantage.
Skills & Competencies
Technical Skills
- Strong understanding of Accounts Receivable, credit control,
billing, deferred revenue, and revenue recognition processes.
- Advanced Microsoft Excel skills.
- Knowledge of Power BI, Power Query, and Power Automate is an
advantage.
- Experience with ERP or accounting systems; Microsoft Dynamics
365 Business Central (BC365) is a plus.
- Familiarity with AI Agentic tools and intelligent workflow
automation is a plus.
Core Competencies
- Highly meticulous with strong numerical accuracy and attention
to detail.
- Strong analytical and problem-solving skills.
- Excellent communication and interpersonal skills with the
ability to collaborate effectively across departments.
- Good organisational and time management skills, with the
ability to manage multiple priorities and meet deadlines.
- Proactive, self-motivated, and committed to continuous
improvement.
- Demonstrates integrity, accountability, and professionalism in
handling confidential financial information.
Skills Required
- Bachelor's Degree in Accountancy, Finance, or related discipline
- 3-5 years experience in Accounts Receivable, Credit Control, Billing, or Finance Operations
- Strong understanding of accounts receivable, credit control, billing, deferred revenue, and revenue recognition
- Advanced Microsoft Excel skills
- Experience performing bank reconciliations and AR reconciliations
- Excellent communication, stakeholder management, organisational and time management skills
- Experience with ERP or accounting systems
- Knowledge of Microsoft Dynamics 365 Business Central (BC365)
- Knowledge of Power BI, Power Query, Power Automate and AI Agentic tools for automation and reporting
- Experience managing high-volume invoicing, multi-entity or multi-country billing and collections
What We Do
Lithan is a Pan-Asia Digital Learning and Talent Platform focused on delivering growth for talents and enterprises in the digital economy, bridging talent crunch and income inequality with its eduCLaaS model.






