- Preparation of cheque payments, payment certificates, outstanding payables report
- Management of monthly cash book - payment vouchers, cash vouchers, showroom vouchers
- Verifying of staff claims
- Filing, archiving and safekeeping for all invoices and statement of accounts
- Bank Statement & Cash Book reconciliation
- Calling customers for payment and follow up on receivables issues and security deposits
- Other assigned ad hoc duties
We regret only shortlisted candidates will be contacted. All applications will be handled confidentially. By submitting your application, you agree to the collection, use, retention, and disclosure of your personal information to prospective employers.
Wecruit Pte Ltd
EA License No: 20C0270