Job Description:
- Handle daily operational AP/ AR tasks including invoicing, payment, receipts, staff claims, and others
- Handle bank reconciliation and other bank related matters
- Perform Monthly Reconciliation
- Generate statements of accounts to respective department and customer
- Assist in preparation of monthly and ad hoc reporting and audit schedules
- Assist in monthly financial closing and ensure responsible accounting entries are properly, timely and accurately updated
- Perform other supporting functions within the Finance Department
- Other duties to be assigned
Requirements:
- Degree or diploma in Accounting, ACCA, AAT or other professional accounting qualifications
- Self-motivated with good interpersonal and communication skills
- Immediate or short notice candidates with working experience would be an advantage