Search Results: 3 vacancies

Responsibilities Prepare bank deposits, general ledger postings, and statements Reconcile accounts in a timely manner Daily enter key data of financial transactions in the database Liaise closely with customers and internal parties to resolve credit an... 
To Kwa Wan
1 a month ago
 ...lities Responsible for full set of accounting book including daily accounting operations, AR/AP, month-ending, and bank payment transactions Liaise with banks and prepare annual audit documents Perform ad hoc tasks as assigned Requirements DSE / ... 
To Kwa Wan
1 a month ago
Responsibilities Perform daily accounting duties including data entry, preparing vouchers, bank reconciliation, bank payments and remittance Arrange payments and compute bank reconciliations  Handle staff reimbursement and ensure expense is with proper appr... 
To Kwa Wan
21 hours ago