
Search by job, company or skills
Job Summary:
Job Content:
Responsibilities
Period close process for FA/GL/AR functions
General Ledger/Others
. Month-end closing activities in SAP/Netsuite
. Fixed asset accounting
. Prepare journals for payroll, accruals, intracompany elimination and adjustments
. Maintain master data in SAP/Netsuite
. Reconcile Netsuite interfaced to SAP
. Prepare VGCS load files to reporting system as assigned
. Balance sheet reconcilation as assigned
. Prepare quarterly GST submission
. Liaise with external auditor and government institutes
. Liaise with internal and external stakeholders on their queries and resolve issues
. Any other tasks or projects that may be assigned
Accounts Receivable (Backup)
. Handle treasury activities ie. Currency buy/sell based on the cash forecast requirement
. Prepare sundry billing to customers and intercompany partners
. Timely update of incoming receipts and follow up on discrepancies
. Cheque deposits
. Apply new customer ID and maintain customer in Netsuite
. Monthly SOA to customers
. Handle banking related matters
Forums:
1. External
2. Internal
Required knowledge & experience:
1. Education/Professional Qualifications required for the positions:
Professional Experience
Education
2. Additional Important Requirements:
Languages
Job ID: 136190669