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Responsibilities:
Handle full set of accounts and ensure accurate bookkeeping records
Prepare timely financial statements and management reports
Manage cash flow planning and oversee banking facilities, including loan arrangements, trust receipt submissions, and repayments
Oversee Accounts Payable (AP) and Accounts Receivable (AR), including account setup, aging reports, statements of account, payments, and collections
Manage inventory accounting, including stock take, reconciliation, and adjustment processes
Liaise with banks and financial institutions for daily banking matters
Prepare and submit quarterly GST returns in a timely manner
Coordinate with auditors and tax agents for year-end audit and tax closing processes
Communicate with overseas stakeholders on finance-related matters
Prepare monthly sales reports for commission calculations
Support general administrative tasks and perform ad-hoc duties as assigned
Requirements:
Possess a relevant certificate in Accounting or an equivalent qualification
Minimum 2 years of experience in a similar role
Able to do inventory management related, trade financing and able to handle external audit enquiries
Able to multitask and work under tight deadlines
Detail-oriented, proactive, resourceful, and self-motivated with a positive attitude
Proficient in MS Office applications, especially Microsoft Excel
Strong communication and interpersonal skills
Able to work independently as well as collaboratively in a team environment
Wecruit Pte Ltd | 20C0270
Tew Jie Wei | R22106822
Job ID: 149150699
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