- Accounts payable
- Verifying of invoices against PO
- Confirmation of receipts for purchases goods and services and resolving discrepancies
- Keying in invoices
- Ensuring employee expenses claim reports are compliant
- Reconciliation of vendor statements and responding to inquiries from vendors on payment status/ related matters
- Monthly bank reconciliation
- Assist in month end and year end closing
- Ad hoc duties
Interested candidate please click "APPLY" to begin your job search journey and submit your CV directly through the official PERSOLKELLY job application platform - GO Mobile.
We regret to inform that only shortlisted candidates will be notified.
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PERSOLKELLY Singapore Pte Ltd • RCB No. 200007268E • EA License No. 01C4394• Reg No: R1440784 (Foo May Cheng)