1-year contract. Contract is renewable or convertible to Perm after 1st contract.
Daily Duties
- Perform cash counting duties on scheduled days to ensure accurate tabulations of collections and bank duties
- Daily updates and monitoring of bank statement transactions.
- Follow up on customer receivables outstanding matters with customers and/or business unit
- Prepares daily accounts receivables entries and timely posting to system
- Ensure timely and accurate processing of refunds
- Monitor outsourcing team performances and review outsourcing work scope
- Support invoicing team and liaise with business units in providing technical solutions
Monthly Duties
- Download monthly data and reports from SMS system
- Prepares month close journal entries and AR entries
- Prepares audit schedules and AR related reports
- Responsible for interim and month end bank reconciliation
- Prepares monthly slides for management
Assist in other operational duties as assigned
- Collate and provide AR Reports as and when required.
- Support audit related queries and work
Review processes and procedures
- Assist in exploring ways to implement improvised systems or work processes
- Updating of work instructions and guidelines
EduTrust and other statutory compliances
- Participate and ensure Edutrust and other statutory compliances
Others
- Any other ad-hoc duties as required by the company from time to time.
Requirements
- Diploma/Degree with more than a year of relevant working experience
- Well organized and self-motivated
- Well versed with the basics of accounting
- Service-orientated individual with excellent communication skills
HOW TO APPLY
Interested applicants, please click on “Apply Now”or email ref44@trustrecruit.com.sg