Location: Solaris@Kallang 164
- Handling on daily accounting entries and month-end closing – accrual JV etc.
- Reviewing the staff claim & purchase requisition form.
- Assist in preparation GST F5
- Proper safekeep of accounting records
- Monthly bank reconciliation for Singapore & Malaysia branches.
- Banking transaction matters – arranging cheque bank in /collection matters.
- Preparing other form, recurring form etc.
- Reviewing the monthly annual leave reports.
- Assisting on fixed assets register, disposal and data retention records
- Banking transaction matters – arranging cheque bank in /collection matters
Requirements:
- Meticulous and detail oriented
- 2-3 years relevant experiences
Should you be interested in this position, please contact Terence at +65 9645 4048 your resume directly for fast respond.
Interested candidate please click "APPLY" to begin your job search journey and submit your CV directly through the official PERSOLKELLY job application platform - GO Mobile.
We regret to inform that only shortlisted candidates will be notified.
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PERSOLKELLY Singapore Pte Ltd • RCB No. 200007268E • EA License No. 01C4394• Reg. R23116141 Le Cong Thang