Experience in full set of accounts, AR, AP and monthly reconciliation for various clients.
Responsible for maintaining full set of Accounts and deliver timely and accurate financial reports
Prepare monthly financial and management reports
Ensure compliance to accounting standards, accurate and timely closure of accounts, and accounting reports are maintained
Bank Reconciliation and dealing with banks
Involve in year-end audit and closing
GST reconciliation and submission
Independent and able to work under tight deadlines
Possess strong interpersonal and communication skills
Prepare Payroll & Staff leave records
Other ad-hoc project assignment multi-tasking capability
Have a positive working attitude, proactive and meticulous
Proficient in Microsoft Office (Word & Excel).
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