Job Description
Responsibilities:
- Handle full set of accounts including reconciliation, receivables, payables, and month/year-end closing
- Prepare periodic journals and maintain accurate schedules for fixed assets, accruals, prepayments, bank reconciliations, intercompany reconciliations, and inventory.
- Assist in record daily accounting transactions, including invoices, payments and reimbursements.
- Follow up on invoice issuance and receipt with vendors.
- Assist in reconciling accounts payable and receivable.
- Prepare and maintain reconciliation statements with vendors and customers.
- Maintain accurate financial records and support document filing (physical and digital).
- Update spreadsheets and internal financial reports using Excel or other relevant tools.
- Handle SST and e-invoice reporting
- Preparation of tax computations and filing of Tax returns
- Verify and process employee expense claims ...
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