$2,800 - 3,000 monthly
Number of Applicants
:000+
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Roles & Responsibilities
· Update and Monitor Daily Sales Collection
· Update Daily Sales Analysis
· Update Receivables into MYOB
· Update and Monitor Consumption Report
· Petty Cash
· Post Sales Journal
· Verify figures in Daily Sales Summary
· Prepare and Post Journal for Depreciation on Fixed Assets
· Full Sets of Accounts into MYOB (from entering of data to Management Reports)
· Bank Reconciliation for all banks
· Check commission report
· Prepare GST submission
· Post Journal entries for payment of GST
· Walk through the whole processes of audit for each entity
· Prepare Payments (Accounts Payable)
· Banking Facilities (Visa, Master, IPP, NETS, GrabPay, PayLah!, PayNow)
· Requisite and handles distribution of office stationery
· Any other duties and projects as assigned by the Managers or Directors
Job Requirement:
This job is no longer accepting applications.
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