- Location: East side
- 5days 8:30am - 5:30pm
- Basic + AWS + VB
JD:
- Handles full set of accounts, including monthly bank reconciliation & journal entries
- Ensure accuracy for data entry of all transactions into the MYOB
- Account Payables: Check and ensure the supporting documents are adequate and complete, monitor payments and issue cheques to vendors
- Prepare PVs and attached cheques together with supporting documents for Accountant and Finance Manager’s review before route to Directors for their approvals
- Account Receivables: Check and ensure the supporting documents (PG/SR) are adequate and complete before issue invoices on time and mail to customer, and capture the sales transactions in the MYOB
- Maintain Fixed Assets Register
- Prepare audit schedules and assist in auditing matters
- Perform month end and year end closing and prepare audit schedules for balance sheet accounts within the stipulated timeline for Accountant/FM to review
- Ensure all finance documents are properly filed and kept in the cabinet such as bank statement and contracts
- Provide administrative supports, i.e. mailing documents and etc
- To undertake ad-hoc duties assigned by Accountant/FM, i.e. generate and sorting listing from MYOB, checking of historical data and etc.
HOW TO APPLY:
Interested applicants, please click on “Apply Now” or email [email protected]
We regret only shortlisted candidates will be notified.
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Trust Recruit Pte Ltd
EA License No: 19C9950
EA Personnel: Lim Wei Jye (Jaylyn)
EA Personnel Reg No: R24121213