Finance Officer (MNC/ GL) PW83 - #1107988
Trust Recruit

Highlights:
West/ Basic + AWS + VB
GL & Reporting
Process monthly payments
SOA reconciliation
The staff is part of the GL & Reporting section of Finance, reporting to the Assistant Finance Manager and is responsible for reconciling and keeping the daily bank book records current, and processing monthly payments.
Responsibilities
1. Prepare related monthly AP payment and monthly SOA reconciliation.
2. Act as the first approver/reviewer of all invoices submitted via the e-Procurement system (TenderBoard).
3. Act as second reviewer of TenderBoard reports and ensure all accounting codes are correct.
4. Monitor balance sheet items and follow-up with the respective PIC on outstanding items
5. Responsible for the timely, accurate, and complete preparation of daily carrier remittances for both the 1st and 2nd batches. (as backup)
6. Post related AP transactions / Journal entries.
7. Support the portfolio of other team members through a buddy system.
8. Provide support for internal & external audits.
9. Perform ad-hoc assignments as requested by the Manager / HOD.
Qualifications
§ Diploma in Accountancy / Business Finance
§ Three (3) years of hands-on experience in accounting on related work area
§ Proficiency in MS Excel, MS Word and SAP accounting system
§ Strong verbal and written communication skills
§ Independent, meticulous and good team player
§ Able to multi-task, work under pressure and meet tight reporting deadlines
HOW TO APPLY:
Interested applicants, please email to “[email protected]”.
We regret only shortlisted candidates will be notified.
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Please read our privacy statement on our corporate website www.trustrecruit.com.sg.
Trust Recruit Pte Ltd
EA License No: 19C9950
EA Personnel: Pierre Chung Yih Shern
EA Personnel Reg No: R22111092
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