Purpose of the Job:
Perform bank reconciliations by ensuring that reconciling items are followed up on and resolved on time thereby ensuring accurate financial records enabling informed business decisions
KEY ACCOUNTABILITIES
Perform Reconciliations
Perform Month End & Year End Activities
Accounting Activities
ACB Monitoring
Query Logging & Resolution
Minimum
Advantageous
Working Conditions:
Applications Close: 24 May 2026
Should you not receive feedback within 2 weeks of your application, please consider your application as unsuccessful
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