Job Summary
Manage accounting functions including month-end closing, accounts receivable/payable, bank reconciliation, and GST submissions to support accurate financial reporting and compliance for property management operations.
Responsibilities:
- Perform month-end closing activities by posting journals and reviewing accounts to ensure accurate financial records
- Prepare and deliver financial reports within set timelines to maintain reporting accuracy
- Process and control accounts receivable and accounts payable to manage cash flow effectively
- Conduct bank reconciliations to verify and reconcile financial transactions
- Liaise with external auditors to facilitate audits and ensure compliance with financial regulations
- Submit GST returns accurately and on time to meet statutory requirements
- Manage general administrative tasks to support smooth office operations
- Execute additional duties as assigned to contribute to team and organizational goals
Requirements:
- Diploma in Accounting or equivalent qualification
- Proficient in Microsoft Office applications including Excel, Word, and Outlook
- Minimum of 2 years relevant accounting experience
- Knowledge of full set accounts and MCST accounting practices
- Demonstrates a reliable work attitude and ability to collaborate effectively as a team player