- 146B PAYA LEBAR ROAD Central Region (Singapore) Singapore

Lokasi Kerja
Penerangan Kerja
Tanggungjawab
Job Description:
· Prepare and execute in Account Receiver, Account Payable, bank reconciliation, and full sets of Account.
· Arrange payment schedule, updating and follow up on the payment schedule. to submit daily and weekly report to the management and work closely with the management to avoid any operation interruption.
· Responsible for the Audit financial transactions and accounting document control procedures.
· Prepare and arrange for daily sales and report to the Director and Management,
· Prepare and report for the annual Fixed Asset Depreciation Report to Director & Management, include
· Liaise with any government authority for any accounting and financial matter with audit, GST & etc.
· Responsible and communicate with the party involve for the account audit. Work closely with management for the audit.
· Liaise with external party - bank, government authority and etc for the account/ costing matters
· Prepare daily credit card reconciliation report, daily bank balance report and updates on daily bank transaction. Ensure fund disbursed and credited to bank account.
· Petty cash management and process reimbursement form.
· Prepare bank deposit for counter cash collection
· Preparation of quarterly GST submission
· Preparation of yearly commission statement
· Responsible in Monthly inventory stock take, disposal and write off for asset and inventory
· Filling and arranging of documents
· Other task and duty assigned by the Director & Management
Job Requirements:
Other information:
Peringatan Penting
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