招聘信息过期。本招聘已经关闭,可以查看公司其他工作哦

Description:
-In charge of full set accounts including general ledger, accounts payable, accounts receivable, fixed assets, inventory, and bank reconciliations.
-Cash flow management.
-Preparation of monthly reporting pack and any other reports as requested from Superior/ Group.
-Preparation of quarterly GST filing and corporate tax compliance matters.
-Liaise with bankers, external auditors, corporate secretarial and tax agent, etc.
-Prepare yearly budget and forecast.
-Perform Year End stock take.
-Perform other ad-hoc projects or duties as assigned by Superior.

Requirements:
-Diploma holder or equivalent
-At least 2-3 years of working experience in similar position
-Familiar with Dynamic software and Midas system
-Good interpersonal communications
-Able to work under pressure and meet deadlines with high quality and attention to detail.
-Self-motivated, proactive, and able to work independently and as part of a team.
-Willing to learn and adapt to changes and challenges.

Remuneration:
*Salary range : S$2,800 – S$3,300.
*Working hours: Mon to Fri 8.30am-5pm
*5days work week
*Entitles AL and ML

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