Job responsibilities
- Assist in month end closing
- Prepare bank reconciliation
- Prepare & maintain audit schedules
- AP & AR control and reconciliation
- Month end accrual journal entries
- Manage petty cash imprest system
- Reconcile inter-company confirmations
- Prepare quarterly GST reporting
- Handle staff claims & expenses
- Handle ad hoc assignment as and when assigned
- Support the Team & perform cross functional activities when necessary
Job requirements
- LCCI / Diploma in Accounting
- Proficient in Microsoft Office
- Meticulous & detail-oriented, willing to learn & improve work processes
- Able to work independently with minimal supervision
- Willing to learn on the job & positive attitude
- Good interpersonal & communication skills
- Good knowledge of accounting skills & procedures