
Accounts and Finance Operations #BCL
$ 3,000 - $ 5,000 / month
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Key Responsibilities:
- Receipts & Accounts Receivable
- Process and record incoming payments (cash, cheques, bank transfers) in a timely and accurate manner.
- Issue receipts and ensure proper allocation of payments to customer accounts.
- Monitor outstanding receivables and assist in follow-ups for collections.
- Reconcile customer accounts and resolve discrepancies.
- Payments & Accounts Payable
- Prepare and process supplier payments (including local and overseas vendors) in accordance with payment schedules.
- Ensure all payment documentation is complete and properly authorized.
- Maintain accurate records of payments, including petty cash and employee reimbursements.
- Track and monitor due dates to avoid late payments and ensure vendor satisfaction.
- Bank & Account Reconciliation
- Perform regular bank reconciliations to ensure consistency between company records and bank statements.
- Reconcile general ledger accounts related to cash, receivables, payables, and accruals.
- Investigate and resolve discrepancies in a timely manner.
- Financial Operations & Reporting
- Maintain and update accounting records and ledgers in the accounting system.
- Support month-end and year-end closing processes, including preparation of journals and schedules.
- Assist in generating financial reports for internal and external stakeholders.
- Support audit and compliance activities as required.
- Process Improvement & Compliance
- Ensure compliance with company policies, internal controls, and accounting standards.
- Suggest process improvements for operational efficiency and accuracy.
- Ensure timely and proper documentation and filing of finance records.
How to Apply:
Interested applicants, please email your resume to [email protected]
Clara Crystal Lim Tyn Wei
CEI No: R23117784
Recruit Express Pte Ltd
EA Licence No: 99C4599
Key Responsibilities:
- Receipts & Accounts Receivable
- Process and record incoming payments (cash, cheques, bank transfers) in a timely and accurate manner.
- Issue receipts and ensure proper allocation of payments to customer accounts.
- Monitor outstanding receivables and assist in follow-ups for collections.
- Reconcile customer accounts and resolve discrepancies.
- Payments & Accounts Payable
- Prepare and process supplier payments (including local and overseas vendors) in accordance with payment schedules.
- Ensure all payment documentation is complete and properly authorized.
- Maintain accurate records of payments, including petty cash and employee reimbursements.
- Track and monitor due dates to avoid late payments and ensure vendor satisfaction.
- Bank & Account Reconciliation
- Perform regular bank reconciliations to ensure consistency between company records and bank statements.
- Reconcile general ledger accounts related to cash, receivables, payables, and accruals.
- Investigate and resolve discrepancies in a timely manner.
- Financial Operations & Reporting
- Maintain and update accounting records and ledgers in the accounting system.
- Support month-end and year-end closing processes, including preparation of journals and schedules.
- Assist in generating financial reports for internal and external stakeholders.
- Support audit and compliance activities as required.
- Process Improvement & Compliance
- Ensure compliance with company policies, internal controls, and accounting standards.
- Suggest process improvements for operational efficiency and accuracy.
- Ensure timely and proper documentation and filing of finance records.
How to Apply:
Interested applicants, please email your resume to [email protected]
Clara Crystal Lim Tyn Wei
CEI No: R23117784
Recruit Express Pte Ltd
EA Licence No: 99C4599