Full-time
Job Description
- Handle full set of accounts
- To perform daily bookkeeping activities on account receivable/payable and daily/monthly bank reconciliation
- Perform Account Payable function, such as preparation of payment, reconciliation of suppliers’ accounts etc
- Assist to prepare monthly and year end management reports.
- Handle monthly Payroll, GST & CPF submission
- Manage month end close process and ensure all journals, bank reconciliations, AR and AP
- Perform HR related duties and support any other ad-hoc duties as assigned