Responsibilities
- Must be able to handle Full Set of Accounts independently
- Handle accounts receivable and issue invoices timely
- Perform day-to-day accounting activities, maintain records & data entry
- Perform month-end closing
- Perform monthly bank reconciliations and monthly/annual stock count
- Compile and analyse financial information for Manager review
- GST preparation & submission
- Any ad-hoc duties as assigned from time to time