$2,500 - 3,800 monthly
Number of Applicants
:000+
Prepare full sets of account and responsible for monthly accounts closing
Produces ledger balance for reporting purposes
AP & AR
Update daily cash in bank
Bank reconciliation, bank transfer, cheque preparation, deposit cheque, TT and etc
Perform quarterly GST submission
Ensure proper maintenance of filling of documents
Prepare audit schedule for year-end audit
Ad-hoc duties as assigned by Management
This job has the following work schedule:
This job has the following benefits:
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