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Account Executive

RK Recruitment Pte. Ltd.

Singapore

On-site

SGD 60,000 - 80,000

Full time

Today
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Job summary

A leading recruitment firm in Singapore is seeking a qualified accounting professional to manage accounts receivable, payable, and bank reconciliations. The ideal candidate will prepare financial reports and liaise with government authorities on auditing and GST matters. This full-time position offers a competitive salary of $2500 - $3200 plus benefits. Apply now to be part of a dynamic team.

Benefits

AWS
Medical Benefits

Qualifications

  • Experience in account management including receivables and payables.
  • Ability to prepare financial reports and manage daily transactions.
  • Proficient in reconciliation and audit processes.

Responsibilities

  • Prepare and execute Account Receivable and Payable tasks.
  • Arrange payment schedules and manage updates.
  • Submit reports to management to ensure operational continuity.
  • Handle financial audits and manage documentation.
  • Liaise with external parties for financial matters.

Skills

Account Receivable
Account Payable
Bank Reconciliation
Audit Management
Financial Reporting
GST Preparation
Job description
Job Info:
  • Basic: $2500 - $3200 + AWS + Medical Benefits
  • Working Hour: 5 Days (Monday - Friday : 9am - 6pm)
  • Location: Paya Lebar
Job Scope:
  • Prepare and execute in Account Receiver, Account Payable, bank reconciliation
  • Arrange payment schedule, updating and follow up on the payment schedule
  • To submit daily and weekly report to the management and work closely with the management to avoid any operation interruption
  • Responsible for the Audit financial transactions and accounting document control procedures
  • Prepare and arrange for daily sales and report to the Director and Management,
  • Prepare and report for the annual Fixed Asset Depreciation Report to Director & Management
  • Liaise with any government authority for any accounting and financial matter with audit, GST & etc
  • Responsible and communicate with the party involved for the account audit. Work closely with management for the audit
  • Liaise with external party - bank, government authority and etc for the account/ costing matters
  • Prepare daily credit card reconciliation report, daily bank balance report and updates on daily bank transaction. Ensure fund disbursed and credited to bank account
  • Petty cash management and process reimbursement form
  • Prepare bank deposit for counter cash collection
  • Preparation of quarterly GST submission
  • Preparation of yearly commission statement
  • Responsible in Monthly inventory stock take, disposal and write off for asset and inventory
  • Filling and arranging of documents
  • Other task and duty assigned by the Director & Management

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*We regret to inform you that only shortlisted candidates would be notified*

We wish you all the best in your career search.

You are welcome to visit our website at http://www.rkgroup.sg/

RK Recruitment Pte Ltd | EA License No.: 20C0280

Chan He Guang | EA Personnel No.: R23117560

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