- Prepare and record all financial transactions and ledgers
- Perform monthly bank reconciliation statements
- Responsible for accounting processes and tasks ( AP & AR process, GL, account reconciliation, etc)
- Documentation of transactions
- Maintenance of accounting files and relevant documents.
- Process monthly invoices to clients
- Follow-up on receivables with reminder if necessary
- Compute and prepare monthly fees payable to sub-con
- GST filing and other tax compliances
Requirements :
- Diploma or Degree (Accounting/Finance)
- Preferably with 2 years of relevant accounting experience