Job type: Contract

Salary: $4,400 - $4,700 a month

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Job content

  • Process journal entries for accrual entries, prepayments, adjustments, provisions, bank account entries and maintains recurring journals
  • Check payroll interface entries to payroll report; prepare journals for payroll re-charge, provision for bonus/CPF
  • Perform bank reconciliations and monthly General Ledger audit schedules
  • Prepare draft ECI and draft corporate tax returns
  • Compile quarterly GST report and perform GST adjustments
  • Reconcile and rectify intercompany differences
  • Perform closing and reconciliations for financial reporting
  • Process FA transactions: calculate and record of depreciation of assets; asset acquisition, asset under construction and asset disposal transfers
  • Reconcile period-end FA reports to GL Balances
  • Perform journal for impairment provisions for tangible and intangible assets
  • Participate in any other tasks/projects as assigned
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Deadline: 06-10-2023

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