Job Description:
- Prepare journals such as bank charges, merchant fees, bank revaluation every month end closing
- Perform minimally 25 bank reconciliations on monthly basis
- Update process and controls on quarterly basis by actively looking for improvement in workflow
- Assist reporting line for external and internal audit in relation to bank reconciliations
Application Procedures
Interested candidates, please email your resume to:
Attention: Jamie Tan Pei Zhen (CEI No. R2199473)
[Confidential Information]
Recruit Express Pte Ltd (EA No. 99C4599)