The role involves maintaining accurate cash book records, performing bank reconciliations, and handling both accounts payable and receivable functions
Job Summary
The role involves maintaining accurate cash book records, performing bank reconciliations, and handling both accounts payable and receivable functions.
Candidates will be responsible for preparing monthly management accounts, accruals, prepayments, and submitting GST returns in compliance with IRAS requirements.
The company offers a 5-day work week with a hybrid working arrangement in a friendly and supportive team environment.
Matching Summary
The role involves maintaining accurate cash book records, performing bank reconciliations, and handling both accounts payable and receivable functions.