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Responsibilities:
. Performs data entry in accounting databases on a daily basis and performs routine backups.
. Maintains and updates filing system, including filing/binding of accounting vouchers (payment
vouchers, receipts vouchers, general vouchers, petty cash vouchers, etc.) and other
miscellaneous filings.
. Filing sales invoices daily basis and keeping track of unreceived customer signed invoices.
. Review sales invoices
. Record sales return for stock& Debit Note/ Credit Note for a price adjustment or rebate
. Liaise with customer accountant to reconcile recon item if any
. Have to go bank for cheque service or bulk cash received (rotate weekly basis)
. Assist with key data in Some customer online portal (NTUC etc)
. Review logistic GRN Vs supplier invoice then record all purchase invoices.
. Report to the supervisor or logistic to reconcile When finding out the issue in GRN.
. Record all non-trade purchase invoices.
. Prepare payment vouchers and cheques for trade and non-trade suppliers.
. Review & Record sales man entertainment claims.
. Record direct cash/bank record.
. Assist AR in Print SOA and post SOA monthly basis
. Other ad-hoc job duties as assigned
Requirements:
. Minimum 1 year of experience in the Accounting field and can manage AP & AR.
. Proficient in Microsoft Office, especially in Excel
. Knowledge of Microsoft Dynamic- ERP system will be an advantage
. Good communication skills
. Well-organized and able to multi-task
You may apply via here and/or contact HR via email at [Confidential Information]
We regret to inform you that only shortlisted candidates will be notified. Thank you.
Job ID: 138848561