Responsibilities:
- Involve in monthly closing including AR function & AP function.
- Prepare and maintain tangible/intangible asset schedule.
- Process staff claims and vendor invoices.
- Maintain accrual & prepayment schedule.
- Prepares balance sheet schedules, bank reconciliation and audit schedules.
- Able to analyze the Monthly Financial Reports.
- Maintain Customer, Vendor and Employee Masters.
- Assist in liaison with auditors for annual / ad-hoc audit (internal & external).
- Perform AP duties which includes payment processing (Manual, GIRO and System), and ensure proper supporting documents for approval of payments.
- Perform AP checking of supplier invoices and related documents submitted from documents submitted from SCM Department for processing of payments.
- Perform payment duties for posting/checking of coding for expenses and payment in SAP.
- Prepare monthly supplier statement reconciliation.
- Ensure that cost items (journals) are recorded in the system from month end closing.
- Assist to prepare accrual schedule for operational and non operational expenses.
- Assist in company Budgeting Process.
- Assist in Monthly Forecast Reporting.
- Perform other financial responsibilities as and when required.
Qualifications and requirements:
- Diploma or Bachelor in Accounting/Finance/ACCA or equivalent professional qualification.
- Possess at least 2-3 years’ Finance & Cost Accounting experiences.
- Possess sound knowledge in Microsoft office especially Excel and PowerPoint is an added advantage.
- Knowledge of SAP is a good advantage.
- Work with external and internal auditors and tax agents etc.
- Team player, Meticulous, Detail Oriented
- Preferable to have Costing Management Background and Managing the Accounts for Overseas branches.
HOW TO APPLY:
Interested applicants, please click on “Apply Now” and provide the below details in your resume.
We regret only shortlisted candidates will be notified.
Trust Recruit Pte Ltd
EA License No: 19C9950
EA Personnel: Ding Xin Er
EA Personnel Reg No: R22106669