Job Description
Manage full set of accounts (AR, AP, GL, month-end closing)
Monitor and prepare bank reconciliation and cash flow forecasts
Handle full spectrum of fixed assets functions
Prepare balance sheet schedules (fixed assets, prepayments, accruals, inter-company reconciliations, etc.)
Submit quarterly GST e-submission and assist in ECI & Form C submissions
Support monthly financial & management reports
Assist with year-end statutory audit and tax reporting
Ensure compliance with accounting standards and internal controls
Participate in process improvements & system enhancements
Carry out other ad-hoc duties as assigned
Please submit your resume to (HIDDEN TEXT) or WhatsApp
Monitor and prepare bank reconciliation and cash flow forecasts
Handle full spectrum of fixed assets functions
Prepare balance sheet schedules (fixed assets, prepayments, accruals, inter-company reconciliations, etc.)
Submit quarterly GST e-submission and assist in ECI & Form C submissions
Support monthly financial & management reports
Assist with year-end statutory audit and tax reporting
Ensure compliance with accounting standards and internal controls
Participate in process improvements & system enhancements
Carry out other ad-hoc duties as assigned
Please submit your resume to (HIDDEN TEXT) or WhatsApp
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