1) Keying of all accounting data into IFS including transferring of data (Sales and Purchase invoice) from Just system into IFS (if have experience in IFS accounting software would be good)
2) Bank reconciliation, revaluation of AR/AP and bank and update monthly consolidation cashbook
3) Experience in AR/ AP and prompt closing of monthly accounts and preparation of journal voucher to submit for review
4) Maintaining of monthly closing schedule
5) Preparation of sales margin report
6) Preparation of all AP payment (USD/ SGD/ Euro)
7) Prepare AR and AP report and send SOA
8) Preparing of Debit and Credit note
9) Sending of declaration to bank
10) Support in the audit and sending AR ad AP balance confirmation to supplier and customer
11) Prepare quarterly GST to submit for review