Job Description:
- 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
- Any other duties assigned.
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PERSOLKELLY Singapore Pte Ltd • RCB No. 200007268E • EA License No. 01C4394• Reg. R22111375 Chua Jie Lin