Job Responsibilities:
- To perform monthly Balance Sheet and Bank reconciliations.
- To verify payment vouchers for accuracy & completeness and ensure supplier reconciliation is performed correctly with no long outstanding invoices.
- To support the Cost Controller in carrying out monthly inventory checks if required.
- To support Cost Control function in the absence of the Cost Controller.
- To assist in the preparation of all financial statements, income statements, forecasts, and budgets.
- Performs any other related duties that may be assigned from time to time by the Finance Manager or the Management.
Requirement:
- 2-3 years of experience in handling GL.