Job Description
Responsibilities Prepare and maintain full sets of accounts Prepare and manage weekly cashflow forecast and ensure availability of funds Prepare monthly reports for management Prepare and submit quarterly GST returns Prepare and submit CPF Manage and coordinate annual financial reporting Handle AP/AR, payment collection, payroll and bank reconciliation Liaise with internal and external stakeholders (other depts, customers, suppliers, banks etc) Ensure timely and accurate closure of books Manage the workflow of the accounting process to ensure proper maintenance of all accounting systems and entries Implement industry best practices and ensure compliance with Accounting Reporting Standards Develop and improve controls, policies, procedures and systems Handle other administrative duties as required (filing, banking, mailing etc) Requirements Diploma/Bachelor's Degree in Finance/Accountancy/Banking or equivalent. At least 2 year(s) of working experience or in similar capacity. Highly meti...
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