Vacancy Description
Description
- Generate daily sales report and reconcile report with cashless service providers.
- Perform daily bookkeeping transactions for AP/AR.
- Maintain accurate entry postings, financial records and statements.
- Manage general ledger and update on audit schedule.
- Perform monthly bank reconciliation, month‑end closing and year‑end closing.
- Prepare monthly financial statements, reports, consolidation balance sheet and P&L statements.
- Handle reconciliation and inter‑co transactions.
- Liaise closely with suppliers and customers for payment related matters.
- Analyse accounts transactions and provide accurate, timely GST reports for IRAS filing.
- Responsible for yearly financial audit and work closely with tax agent and auditors.
- Liaise with government authorities and complete all government statistical surveys.
- Prepare monthly Management accounts for Directors. <...
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