- Support duties related to accounts payable and accounts receivable functions.
- Prepare of financial and statistics statements and report.
- Monthly bank and accounts reconciliation.
- Handle petty cash claims and reimbursement.
- GST returns and ensure all transactions comply with IRAS's regulation.
- Liaise with auditors and preparing audit schedules.
- Manage full sets of accounts and ensure timely & accurate month end closing.
- Other ad-hoc duties.