AP
- Checking and verifying completeness of invoices/supporting documents received from creditors/customers’ security deposit (“SD”) refunds
- Entering of creditor invoices/SD refunds into Accounting System
- Processing of approved creditor invoices/SD refunds for payment
- Preparation of payments in bank portal
- Handling enquiries from creditors/customers on outstanding payments
- Liaise with operation/other departments on invoice matters
- Assist in performing bank reconciliation/draft audited financial statements
- Any other ad-hoc assignments
AR
- Generation of Invoices, Credit notes and Statement of Accounts
- Monitoring and keying of receipts
- Following up on erroneous billings to/unmatched receipts from customers
- Responsible for intercompany billings, ensure all intercompany transactions are re-charged correctly
- Filing of e-documents/invoices
- Proactively follow up on customers’ queries, resolves any outstanding AR issues and invoices
- Assist in performing bank reconciliation/draft audited financial statements
- Any other ad-hoc assignments
GL
- Ensure integrity of GL and timely closing of accounts
- Preparation of recurring and ad-hoc journal entries for monthly closing
- Performing fixed asset depreciation and amortisation runs and schedules
- Reconciliation of fixed assets and conducting taggings/sightings where applicable
- Performing intercompany related transactions/entries
- Performing bank reconciliations and accounting for bank charges
- Computing and preparation of management fees and tax provisions
- Preparation and maintaining audit schedules
- Performing staff reimbursement transactions/entries
- Any other ad-hoc assignments
For consideration, kindly submit your CV by clicking “APPLY NOW” or text +65 8124 8100 for confidential discussion.
*Only shortlisted candidates would be notified**
MTC Consulting Pte Ltd | 15C7752
EA. Registration No.: R22106909 | Fiona Jayne Yong Yee Wen