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. Handle general accounting functions
. Keying of AP and AR (trade and non-trade) invoices into system
. Updating of bank transactions into system
. Assist in monthly bank reconciliation
. Assist in monthly/yearly accounts closing
. Liaise with external auditors
. Ensure proper filings of documents on a timely basis
. Liaise closely with Trading and Operations Departments on the transactions and update financing bank on the cargo details when requested.
. Handle payment related (i.e. remittance preparation) and liaise with banks
. Ensure all work, transaction and process procedures, practices and service delivery standards are following regulatory and internal requirements
. Other ad-hoc duties as assigned
Requirement
. Diploma/Degree in Finance/Accounting or equivalent.
. Fresh graduates are welcome to apply
. Strong communication skills in English and Mandarin
. Good team work player and learning attitude, and positive mindset
. Independent, responsible, and able to multi-tasks
Date Posted: 26/09/2025
Job ID: 127306515