Responsibilities
- Prepare journals such as bank charges, merchant fees, bank revaluation every month end closing.
- Perform Bank Reconciliation on a monthly basis.
- Ensure reconciling items are properly explained and follow-up with relevant stakeholders.
- Update process and controls on a quarterly basis and play the key support member for bank reconciliation to assist internal auditors.
- Assist with the team on external and internal audit.
- Handle ad-hoc duties and projects as and when assigned.
Requirements
- Minimum Diploma/Degree in Accountancy
- Proficient in MS Office
Interested candidates, please email your resume to [Confidential Information]
Attention: Megan Ng Su Ting
CEI No. R23115059
Recruit Express Pte Ltd
EA No. 99C4599
... We regret that only shortlisted candidates will be contacted.