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Scope and Purpose
The key responsibilities are:
- Process vendor invoices, payments and passing entries as checker or preparer
- Process staff claims and passing entries as checker or preparer
- Ensure that tax requirements (mainly GST, GST reverse charge and withholding tax) are complied with for payments
- Prepare monthly movement report on Sundry, accruals and prepayments accounts and reconciliation to GL
- In charge of IFRS 16 Lease Accounting using the TAGETIK system
- In charge of Fixed Asset Register and Schedules
- In charge of daily nostro reconciliation, as checker or preparer
- Prepare audit confirmations
- Check daily exception reports and investigate and clear errors
- Head Office reporting as checker or preparer
- Participate in systems upgrade and process improvement activities
Others
- Participate in month-end closing activities
- Post or check accounting entries
- Prepare or cover daily and month end MAS reports
- Liaise with internal and external auditors
- Handle ad-hoc assignments by Head of Department
Required Experience
1- 3 years of relevant experience in bank accounting.
Experience in Accounts Payable processing, GST, GST-reverse charge, withholding tax and nostro reconciliation is preferred.
Competencies Required
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