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Job Responsible
Handle daily accounting operations, including Accounts Payable (AP) and general ledger transactions.
Process supplier invoices, payment requests, staff claims, and ensure proper supporting documents and approvals are obtained.
Perform daily bank transactions and bank reconciliations, ensuring all payments are accurately recorded.
Prepare payment vouchers, online banking payments, and monitor payment status.
Maintain accurate and up-to-date accounting records and ensure proper filing of financial documents.
Assist with month-end closing activities, including preparation of journal entries, accruals, and account reconciliations.
Monitor outstanding payables and follow up with suppliers regarding invoices, statements, and payment discrepancies.
Assist in preparing monthly financial reports, schedules, and management reports.
Liaise with internal departments, suppliers, auditors, and other external parties on accounting-related matters.
Assist with audit, tax, and statutory requirements by providing relevant documents and accounting information.
Ensure accounting transactions are properly recorded and comply with company policies and accounting standards.
Perform other ad-hoc accounting and finance duties as assigned by the Finance Manager or superior.
Job Requirement
Diploma or Bachelor's Degree in Accounting, Finance, or a related field.
Minimum 2 years of relevant accounting experience, particularly in Accounts Payable and bank reconciliation.
Good understanding of basic accounting principles and practices.
Strong attention to detail and accuracy.
Good analytical, organizational, and time-management skills.
Able to work independently as well as within a team.
Good communication and interpersonal skills.
Able to meet deadlines and handle multiple tasks efficiently.
Job ID: 153754087
Skills:
Accounts Payable (AP), Accounts Receivable (AR), Automation, Sap Business One, Data Cleansing, Microsoft Excel, XLOOKUP, Vendor management, Data Analysis, Process improvement, ERP accounting systems, Dynamics 365 Business Central, Data Validation, Reconciliations, Digitization, Invoice processing, PivotTables
Skills:
Microsoft Office, GST submission, accounting document control, Account Payable, Bank Reconciliation, Fixed Asset Depreciation, Microsoft Word, financial transactions
Skills:
Bank Reconciliations, Myob, Profitability reports, Cash Management, Accounting Software, Full Set Of Accounts, Accounts receivable, Journal and general ledger
Skills:
Internal control audits, Quarterly balance sheet schedules, Fixed asset accounting, Monthly bank reconciliations, FRS-related journal entries, Record retention, E-filing documentation, General overhead budgets, Accounting codes, Salary-related journals, Month-end closing activities, Proforma revenue comparison reports, Bi-weekly online payments
Skills:
Cash Flow Management, Balance Sheets, statutory compliance, MYOB accounting software, financial reporting, Journal Entries, Profit and Loss Statements