Job Description
- Handle partial sets of accounts for multiple entities
- Prepare journal entries and postings
- Prepare monthly bank reconciliation
- Assist in month-end closing
- Provide day-to-day assistance and administrative support to Finance department
- Suport audit related activities (eg. monthly stock count and annual stock take exercise)
- Opportunity to handle full set of accounts if perform well
- Other ad-hoc duties as assigned
Requirements
- Min LCCI Book-keeping / CAT or equivalent with computer literacy
- 2 years' relevant experience
- Familar with Microsoft Office (Word & Excel)
- Short Notice or Immediate Availability advantageous
Working Hours
Mon - Fri : 8.30am to 6pm