Job Scope:
Monitoring and identifying posting for bank receipts and deductions
Bank reconciliations to ensure outstanding items are cleared on a timely basis.
Submission of ad-hoc cashflow requirement to central agency
Assisting with month-end closing activities such as preparation of monthly revenue recognition journals.
Managing General Ledger for client to ensure transactions are properly recorded to align to reporting needs.
Preparing schedules for month end and year end closing
Preparing GST submissions to ensure that GST submissions are submitted in compliance with GST Act.
Preparing Department of Statistics return to ensure that submissions are submitted in compliance with Statistics Act.
Provide administrative support on the preparation of files for security access reviews, extraction of documents for auditors, follow up with divisions on their rectification of stock take findings etc, and any other duties as and when assigned.
Working Arrangement:
Duration: 6 Months
Working Hours: Mondays to Fridays (office hours)
Salary: TBA
Location: Outram Park
Requirements:
An ideal candidate will be a dynamic and self-motivated individual with at least 3 years of relevant experience. The candidate should also have:
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