Job Description

Job Description

  • Process accounts payable and accounts receivable transactions accurately to maintain up-to-date financial records
  • Manage fixed assets accounting to ensure accurate tracking and reporting of company assets
  • Maintain and update the general ledger to reflect all financial activities comprehensively
  • Perform data entry for invoicing, receipt, and payment processing to support timely financial transactions
  • Prepare monthly bank reconciliations to identify and resolve discrepancies between bank statements and company records
  • Communicate professionally and respond promptly to emails and enquiries from associates to support operational needs
  • Maintain a full set of accounts for the assigned entity to ensure completeness and accuracy of financial data
  • Provide accurate information and liaise effectively with auditor, tax agent, and company secretary during financial reviews

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