Job description:
- Perform month end closing
- Prepare journal entries and update of balance sheet schedule
- Prepare quarterly GST return
- Maintain fixed assets register, depreciation and schedule
- Responsible for accounts payable and accounts receivable
- Handle petty cash and expenses claim reimbursement
- Perform monthly bank reconciliation
- Intercompany billing and perform intercompany balances reconciliation on quarterly basis
- Perform data entry of transaction accurately into AutoCount
Requirements:
- At least a Bachelor degree in accounting or equivalent
- Minimum 3 years of accounting/bookkeeping experience
- Experience in costing is an advantage
Claudia Kueh Kee Jinq EA License No.: 02C3423 Personnel Registration No.:R1880247