- Able to handle full set of accounts - preparation of monthly financial reports.
 - Prepare monthly payroll, assist with CPF and IR8A form submissions
 - Responsible for daily finance operations which include payments, receipts, AR, AP, GL and other accounting functions.
 - Reconcile balance sheet items and prepare schedules.
 - Perform monthly bank reconciliation and intercompany reconciliation
 - Prepare GST returns/reconciliation for review before submission.
 - Maintain good documentation and filing system
 - Perform ad-hoc tasks as assigned
 
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