Job Description
Job Summary
Support financial operations by managing accounts payable and receivable, performing bank reconciliations, reviewing expenses, assisting month-end closing, maintaining data integrity, and preparing ad-hoc financial reports to enable accurate and timely accounting processes.
Responsibilities
- Process incoming invoices by verifying approvals and managing timely vendor payments to ensure accurate accounts payable
- Issue outgoing invoices and follow up on overdue collections to maintain healthy cash flow
- Perform daily or weekly bank reconciliations by comparing bank statements against internal ledgers to ensure transaction accuracy
- Review employee expense claims for policy compliance and accuracy before processing reimbursements
- Assist the Senior Accountant in preparing journal entries and schedules to support month-end closing activities
- Maintain an organized digital fil...
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