NSC Management Services Pte Ltd
Singapore
On-site
SGD 20,000 - 60,000
Full time
Responsibilities
- Updates of transactions into accounting software
- Checking and filing of accounting documents
- Preparation of documents
- Liaise with counterparties
- Assist in month-end closing of accounts
- Prepare full set of accounts
- Preparation of Bank Reconciliation, Audit Schedules and other reconciliations.
- Prepare and compile financial and management reports
- Any other duties / tasks assigned by supervisors