6 months Contract Accountant - up to 6.5k #NCH
1 month ago
Handle full set of books
Handle month-end financial closing and reconciliation process
Handle Cognos update for weekly cash and sales reporting..
- Handle full set of books
- Handle month-end financial closing and reconciliation process
- Handle Cognos update for weekly cash and sales reporting, monthly closing and quarterly forecasting activities
- Update Cashbook and prepare bank reconciliation.
- Treasury: cashflow, hedge contracts & forecasting, cash collection reporting & forecasting
- AP cycle: run payment proposal and update payment
- Support forecasting & budgeting and business plan activities for balance sheet and Profit & Loss.
- Drive audit and statutory requirements and reviews by the internal/external auditors including preparation of supporting schedules and audited accounts
- Participate in yearly internal transfer pricing review and preparation of transfer pricing documentation.
- Perform other related duties and responsibilities as and when assigned
Cheryl Lee Shi Le (CEI Registration No: R1434624)
Recruit Express Pte Ltd (EA: 99C4599)
Official account of Jobstore.