WPP SSC MY | Thai Speaker | Senior Finance Analyst - PTP (Account Payable/Invoice/Payment)

WPP — Petaling Jaya, MY — inconnu

What our tracking knows about this posting

Published on 5 August 2026 · first appeared in our records on 1 September 2026.

Stable posting: first seen on 1 September 2026, with no abnormal reposting.

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<div class="content-intro"><p><strong>WPP is the trusted growth partner for the world’s leading brands.&nbsp;</strong></p> <p><strong>We unite cutting-edge media intelligence and data solutions, world-class creativity, next-generation production, transformative enterprise solutions and expert strategic counsel in a single company – powered by exceptional talent and our agentic marketing platform, WPP Open, to help our clients navigate change, capture opportunity and deliver transformational growth.&nbsp;</strong><br><strong>&nbsp;</strong><br><strong>We work with the world's most valuable brands and have global reach across 100+ markets, with deep local expertise.</strong><br><strong>&nbsp;</strong><br><strong>Our people are the key to our success. We're committed to fostering a culture of creativity, belonging and continuous learning, attracting and developing the brightest talent, and providing exciting career opportunities that help our people grow.&nbsp;</strong><br><strong>&nbsp;</strong><br><strong>For more information, visit <a href="https://eur02.safelinks.protection.outlook.com/?url=http%3A%2F%2Fwpp.com%2F&amp;data=05%7C02%7CErica.Durr%40wpp.com%7C9bf4566a65bc46a48ac008de749116ea%7C150b5e663d884dee83f6ed149b727a00%7C0%7C0%7C639076363668176216%7CUnknown%7CTWFpbGZsb3d8eyJFbXB0eU1hcGkiOnRydWUsIlYiOiIwLjAuMDAwMCIsIlAiOiJXaW4zMiIsIkFOIjoiTWFpbCIsIldUIjoyfQ%3D%3D%7C0%7C%7C%7C&amp;sdata=Q9juosud56XGLThSFZ1NpPZd6FXpJPxV74OeRZWoh%2B4%3D&amp;reserved=0" target="_blank">WPP.com.</a></strong><br><strong>&nbsp;</strong></p></div><p><span style="text-decoration: underline;"><strong>Why we're hiring:</strong></span></p> <p><strong>Purpose of the role&nbsp;</strong></p> <table style="width: 1410px;" width="396"> <tbody> <tr> <td style="width: 1395.22px;" width="396">The Senior Analyst, Purchase to Pay (PTP), is part of a team responsible for performing day to day tasks within the Purchase to Pay (PTP) function covering Accounts Payable, Travel &amp; Expense and Payment, as well as Month End Closing process and some other specific accounting activities related to the stream. The Senior Analyst will be required to handle activities for any of the subfunctions within the PTP function as assigned by the PTP manager.<br><br>Key responsibilities include accurate and timely recording and payment of vendor invoices, statutory payments, employees claim and intercompany transactions in accordance to the defined SLAs/KPIs while adhering to Company policies and procedures as well as relevant legal and statutory requirements.<br><br>The Senior Analyst will work with management to drive the implementation of global process initiatives to streamline and/or automate the PTP process which includes system enhancement and process improvement.&nbsp;</td> </tr> </tbody> </table> <p><span style="text-decoration: underline;"><strong>What you'll be doing:</strong></span></p> <p><strong>Job Description&nbsp;</strong></p> <p><strong>Accounts Payable (AP) &amp; Invoice Processing:</strong></p> <table style="width: 1409px; height: 215.532px;" width="396"> <tbody> <tr style="height: 19.5938px;"> <td style="width: 1394.22px; height: 19.5938px;" width="396">Receive and scan vendor invoice/vendor billing files and supporting documents&nbsp;</td> </tr> <tr style="height: 39.1875px;"> <td style="width: 1394.22px; height: 39.1875px;" width="396">Check all invoices for proper documentation, attach the invoice to the AP System and submit for payment accordingly. Ensure invoices are processed in line with WPP Policies, SOX requirements, Standard Operating Procedure (SOP).</td> </tr> <tr style="height: 19.5938px;"> <td style="width: 1394.22px; height: 19.5938px;" width="396">Process invoices, credit memos and debit memos in a timely and accurate manner according to SLA / KPI set by management and agreed with WPP Operating Companies (OpCo)</td> </tr> <tr style="height: 19.5938px;"> <td style="width: 1394.22px; height: 19.5938px;" width="396">Ensures that all invoices assigned are properly accounted for at the end of each business day.</td> </tr> <tr style="height: 19.5938px;"> <td style="width: 1394.22px; height: 19.5938px;" width="396">Respond to vendor inquiries. Follow up with vendor and respective OpCo to resolve all discrepancies in a timely manner</td> </tr> <tr style="height: 19.5938px;"> <td style="width: 1394.22px; height: 19.5938px;" width="396">Verifies vendor accounts by reconciling monthly statements and related transactions.</td> </tr> <tr style="height: 19.5938px;"> <td style="width: 1394.22px; height: 19.5938px;" width="396">Perform reconciliations of vendor statements, research and address discrepancies as appropriate.</td> </tr> <tr style="height: 19.5938px;"> <td style="width: 1394.22px; height: 19.5938px;" width="396">Review reconciliation and supporting documentation for purchases made by Company Settled Credit Card and revert to OpCo on queries</td> </tr> <tr style="height: 19.5938px;"> <td style="width: 1394.22px; height: 19.5938px;" width="396">Properly book and upload all intercompany transactions</td> </tr> <tr style="height: 19.5938px;"> <td style="width: 1394.22px; height: 19.5938px;" width="396">Work with PTP Leaders on Account Analysis to clear Aged AP and Net Debit Balance (NDB)</td> </tr> </tbody> </table> <p><strong>Payments Processing:</strong></p> <table style="width: 1410px;" width="396"> <tbody> <tr> <td style="width: 1395.22px;" width="396">Generate proposed payment selection file or be the reviewer of proposed payment selection file in accordance with agreed timetable.&nbsp;</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Submit the payment selection file to the OpCo in line with the agreed timetable or be generater of payment confirmation file in accordance with agreed timetable, base on proposed payment selection approved.</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Review, request amendments where applicable, and submit to approvers to authorise payment aligned to the agreed timetablet or be the reviewer the amendments and regenerate payment confirmation.</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Transact payment to bank in accordance with the country/OpCo banking functionality</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Responsible for the following tasks related to payments:</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Act as main contact with bank regarding payments queries.</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Process Time and Expense (T&amp;E) related payment.</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Process and post cheque and wire remittance deposits to the appropriate bank account and invoices, ensuring reconciliation of the batch.</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Ensures payment is made to vendors in accordance to Company Policy and SOX Guidelines</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Work with Master Data Team to set up new vendors in the system or updating existing vendor details.</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Ensure correct e-mail contact details of payment beneficiary are recorded in master data</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Generate remittance advice</td> </tr> <tr> <td style="width: 1395.22px;" width="396">Work with Record to Report (RTR) on all payment transactions on bank reconciliations, resolve reconciling items and escalate to the OpCo any unreconciled/aged items for resolution/confirmation of treatment</td> </tr> </tbody> </table> <p><strong>Travel and Expense (T&amp;E) Processing:</strong></p> <table style="width: 1412px;" width="396"> <tbody> <tr> <td style="width: 1397.22px;" width="396">Perform review checks of claim submitted: valid receipts, valid tax, valid approval in line with the OpCo policy (where there is no systemic workflow) and that the claim information matches the supporting receipts</td> </tr> <tr> <td style="width: 1397.22px;" width="396">Where required, amend the tax codes in accordance with the local tax legislation based on approval from Manager</td> </tr> <tr> <td style="width: 1397.22px;" width="396">Process claim for payment or reject the claim (providing reasons for rejection)</td> </tr> <tr> <td style="width: 1397.22px;" width="396">Submit payment file aligned to the timetable agreed with the OpCo</td> </tr> </tbody> </table> <p><strong>Other Responsibilities:</strong></p> <table style="width: 1412px;" width="396"> <tbody> <tr> <td style="width: 1397.22px;" width="396">Generate aging reports, identify critical issues and drive resolution independently</td> </tr> <tr> <td style="width: 1397.22px;" width="396">Accountable and responsible for the quality, accuracy and timely delivery of scope assigned in accordance to the SLAs/KPIs defined with management and agreed with OpCo</td> </tr> <tr> <td style="width: 1397.22px;" width="396">Handle high complexity issues with minimal guidance fro