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- Prepare billings, receipts and payment, monitor bank balances with ban reconciliation, cash flows position and quarterly GST reports.
- Handle account payables, account receivables, staff claims
- Processing of accounting entries into accounting software
- Able to handle full set of books with audit schedules, intercompany reconciliation
- Filings and other assigned adhoc duties
Date Posted: 18/09/2025
Job ID: 126313389