· In charge of monthly account closing of entities.
· In charge of monthly AR billing and Vessel Operating Cost review (based on allocated vessels).
· Post AP invoices, journals and payments into Microsoft Navision.
· Perform vendors reconciliation.
· Prepare monthly payment cycle for vendors.
· Attend to vendors on payment status and liaise with technical & operational team on vendor invoice issues.
· To prepare reimbursement of staff expenses claims.
· To handle new vendor registration and updating of vendor details in Microsoft Navision.
· To prepare funds transfer within the entities and payments to vendors (through online banking platform) and posting of payments in Microsoft Navision.
· Other Ad hoc duties as per assigned by Finance Manager.
Requirements:
- Minimum of 1 year of experience in accounting or finance role.
- Vessels accounting knowledge will be added advantage
- Immediate starter is preferred
Interested applicants for the above advertised position(s), please kindly email an updated copy of your resume to: [email protected]
EA License No.: 13C6305
Reg. No.: R2093254
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