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- Handling supplier invoices on a daily basis.
- Monitor and review of outstanding invoices with prompt resolution of queries.
- Ensuring all supplier invoices are filed accurately and timely.
- Reconciliation of supplier statements.
- Handling communications with suppliers via phone, email, and in-person and resolving queries.
- Processing transactions, issue cheques, and updating ledgers, budgets, filling etc.
- Prepare and submit monthly bank reconciliation statement.
- Assist in audit requirement and confirmation request.
- Administrative
- Any other duties may be assign on time to time basis.
Finance Assistant - Singapore - SPECON CONTRACTOR PTE. LTD.
Description
Roles & ResponsibilitiesBudgets
Accounts Payable
Microsoft Office
Microsoft Excel
Tax
Accounting System
Data Entry
Bank Reconciliation
Accounts Receivable
Accounting
Microsoft Word
Audit
Able To Work Independently