This is a 6 months contract role.
Job Responsibilities :
· Perform daily bank reconciliation and follow up on outstanding items.
· Handle accounts payable process including raising payments, preparing journal entries.
· Maintain fixed assets register and depreciation schedules.
· Ensure proper booking of transactions, including prepayments, accruals and provisions.
· Prepare reconciliation schedules for various balance sheet items.
· Assist in local financial reporting, MAS/regulatory and head office reporting.
· Perform any other accounting duties as assigned.
Job Requirements:
· Possess at least a Degree or equivalent qualification, preferably in Accountancy.
· Min one year of working experience in similar capacity preferred.
· Exhibit positive attitude, willing to learn and a good team player.
. Proficient in Microsoft Office applications.