A full set account job involves :
- Maintaining accounts: Responsible for maintaining a full set of accounts, including balance sheets, income statements, and cash flow statements
- Reconciling accounts: Performing monthly reconciliations for financial reporting
- Preparing reports: Preparing and compiling financial and management reports
- Filing returns: Filing quarterly GST returns and other tax returns
- Liaising with others: Liaising with bankers, external auditors, and company secretaries
- Handling employee claims: Verifying claims applications and receipts
- Preparing payroll: Preparing payroll and CPF/IR8A forms for clients
- Preparing audit schedules: Preparing audit schedules and liaising with external auditors during annual audits
- Managing obligations: Managing obligations to suppliers, customers, and third-party vendors
- Preparing cash flow projections: Preparing cash flow projections weekly or monthly
- Preparing for year-end audit: Preparing for year-end audit