Vacancy Description
Responsibilities
- Prepare and ensure timely submission of monthly, quarterly, and annual financial and management reports in accordance with stipulated deadlines.
- Manage full spectrum of accounting functions
- Fixed Asset Register and Management
- Prepare and monitor cash flow reports, forecasts, and financial projections to support business operations.
- Prepare and submit GST returns and ensure compliance with all tax regulations.
- Reconcile and manage inter-company transactions and balances on a timely basis.
- Prepare, verify, and process invoices, delivery orders, payment vouchers, and supplier payments.
- Maintain and update cash book records accurately.
- Perform monthly creditors' statement reconciliations and resolve discrepancies promptly.
- Monitor daily bank balances and perform monthly bank reconciliations.
- Prepare audit schedules and supporting documents for statutory and ...
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