Responsible for full cycle of fixed assets which includes maintaining fixed asset register, prepare journal entry
Updating cash book record on sales collection
Preparing bank reconciliations and balance sheet schedule
Performing month-end closing journal including periodic outlet stock-take, reconciliation reports of any shortages, input of stock items into accounting system.
Performing analysis on revenues and expenses.
Assist in year-end audit
Assist in month end closing
Handling full cycle accounts receivable
Assist in ad-hoc projects/new assignments when assigned.
Requirements:
Experienced in reviewing subordinate's task
Preferably with 2-3 years of accounting related job experience
Able to handle fast paced workload
Comfortable to work overtime, weekends and public holidays if necessary
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