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Job Description
Handle full set of accounts, including Account Payables, Account Receivables, Journals Preparation for entities in charged.
Ensure month-end and yearly closing deadline are met.
Preparation of balance sheet schedules, including Fixed assets schedules, bank reconciliation and reconciliation of crypto assets.
Preparation of monthly management accounts.
Assist in drafting of statutory financial statements. Prepare required information for internal and external audit.
Preparation of quarterly GST submissions.
Cash flow management and planning.
Assist in bank accounts opening.
Assist in quarterly returns to MAS.
Other ad-hoc duties as and when assigned.
Job Requirements
Candidate must possess at least a Degree in Accountancy or equivalent.
Minimum 5 years of experience.
Proficient in Microsoft Office. Hands-on experience in Oracle NetSuite System is advantageous.
Able to multi-task a...