Responsibilities:
- Verify and seek approvals for accounts payable/ receivable
- Post account entries to system
- Handle petty cash reimbursement and bank matters
- Manage outstanding payables/ receivables, bank reconciliation, monthly cost reports, quarterly GST filing, cashflow forecast
- Preparation of audit and tax schedules
- Monitor lease for equipment & assets
- Attend to auditors’ requirement
Requirements:
- Recognised Diploma in Accountancy or Business Administration
- Min 2-3 of relevant working experience in similar position
- Committed, meticulous and a good team player
- Able to work independently in a fast paced environment
- Work location will be based in Tuas (Pick up transport will be provided at Joo Koon MRT)