My client is the investment arm of a leading insurance provider. They have numerous positions open ranging across senior executive to manager levels.
In this role, some of your job duties will include;
Review accounts payable entries and payments made to vendors,
ensuring payments are duly supported and properly authorised
Ensure accurate journal posting for expense accruals for month
end closing
Review month-end audit schedules and ensure outstanding
items/issues are promptly followed up
Responsible for performing monthly analysis of cost variance with
business insights
Hands- on handle treasury related matters (eg bank reconciliation,
monthly schedules, cash flow projection, monitoring of bank
balances within internal limits, execute excess liquid cash
placements)
If you are keen on the above position or would like to find out more about other Accountancy and Finance roles, please do send through your updated CV to Amanda Chan at amchan@morganmckinley.com or contact +65 9655 8933 for a confidential chat.
eFinancialCareers
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