(STRICTLY OPEN TO SINGAPOREAN AND PERMANENT RESIDENT ONLY)
Responsibilities:
- Prepare cash flow projections of the business entities.
- Co-ordinate audit matters, ensure compliance with statutory requirements.
- Administer Accounts Receivable and Accounts Payable of designated stations.
- Maintain journal entries, reconciliation of the general ledger matters.
- Update and monitor budget including budgetary controls.
- Administer banking transactions including internet banking.
- Ensure accuracy and the timely closure of monthly accounts.
- Handle office administrative duties as assigned by Reporting Manager.
- Assist in adhoc duties assigned from time to time.
Requirements:
- Candidate must possess at least a LCCI/Diploma or Advanced/Higher/Graduate Diploma, Finance/Accountancy or equivalent.
- At least 2 years of working experience in the related field.
- Able to handle full-set of accounts.
- Applicants should be willing to work in Changi Airfreight Centre.
- Salary will commensurate based on working experience.
- Applicants should be Singaporean citizens or hold relevant Singapore residence status.