Job Description
- Maintain full set of accounts
- Handle Accounts Payable, including data entry, prepare payment voucher and cheque issuance or online payment
- Perform Account Receivable which includes prepare tax invoice, customers’ SOA, official receipts, follow up payments
- Ensure all documents collected are complete and accurate
- Ensure proper accounting records are maintained and procedures are adhered to
- Handle claim reimbursement
- Perform bank reconciliation
- Manage Fixed Asset schedule
- Involve in payroll and CPF submission
- Quarterly GST filing and other tax compliances
- Handle corporate tax and IRAS’s tax queries
- Ensure accurate and timely closing of accounts
- Handle month-end, financial year-end closing, monthly balance sheet, P & L
- Liaise with Auditors / Tax agent
- Handle any other ad-hoc duties/task assigned
- Bilingual in English and Mandarin - To liaise with ...