Responsible for full sets of accounts (AP, AR, GL).
Process suppliers’ payments, verify documents (invoices / DO) are in order, prepare payment vouchers, and issue cheques and TT transactions.
Reconciliation of balance sheet accounts, including creditors/suppliers, inter-company, and bank.
Maintain fixed asset register, prepayment, loan, HP, and deferred income schedules. Provision of monthly expenses and asset tagging.
Perform daily sales reconciliation and liaise with outlet staff on any collection issues.
Prepare inter-company billings according to the company’s policy.
Prepare quarterly GST submission reports.
Liaise with external auditors on queries during financial year-end audits.
Job Requirements
- Diploma/Degree in Accountancy / Partial ACCA
- Meticulous and able to handle fast workflow with high transaction volume, and tight deadlines
- Proficient in Microsoft Excel (V-lookup, Pivot table, etc) is a must
- Good team player and problem-solving skills
- Good technical accounting knowledge
- Able to work independently with minimal supervision