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Accounts Executive

Maxsoft

Singapore

On-site

SGD 30,000 - 45,000

Full time

Today
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Job summary

A financial services company in Singapore is looking for an Accounts Executive to manage full sets of accounts, including accounts receivable and payable. The ideal candidate has a diploma in accountancy and at least one year of relevant experience. Strong organizational skills and a pleasant personality are essential, along with good customer service abilities. The role involves preparing financial reports and ensuring compliance with Singapore financial standards.

Qualifications

  • Minimum 1 year of experience in managing accounts receivable and payable.
  • Meticulous and organized with a pleasant personality.

Responsibilities

  • Maintain proper filing of documents.
  • Handle Full Sets of Accounts (AP, AR & GL).
  • Prepare accounting paperwork and reconcile bank statements.
  • Manage customer accounts and balances.
  • Handle petty cash and cheque payments.

Skills

Customer service skills
Good communication
Organizational skills
Ability to multi-task
Positive thinking

Education

Diploma in Accountancy or relevant qualifications
Job description
REQUIREMENTS:
  • Diploma in Accountancy or other relevant professional qualifications
  • Minimum 1 years of experience in managing accounts receivable and payable
  • Meticulous and organised team player with the ability to multi-task
  • Independent, outgoing and pleasant personality with good customer service skills
  • Excellent communication, interpersonal and writing skills
  • Positive thinking and willing to learn
  • Only Singaporeans need to apply
DUTIES AND RESPONSIBILITIES:
  • Maintaining proper filing of documents
  • Handle Full Sets of Accounts (AP, AR & GL)
  • Prepare relevant accounting paperwork, bank reconciliation statements and monthly accounts in a timely manner
  • Manage Customer accounts and balances
  • Correspond & communicate with vendor or customer whenever necessary
  • Handle petty cash and cheque payments
  • Record daily transactions.
  • Reconcile bank accounts by gathering and balancing information
  • Bank, Debtor and Creditor reconciliations and reporting of receivable from customer balance and payable to supplier balance.
  • Cash Management and Cash Book Control
  • Submission of GST to IRAS and GST matters
  • Prepare Financial Reports with Singapore Financial Reporting Standard
  • Prepare Financial Year End Process and Annual audit process
  • Required to be out of office for banking purpose
  • Other ad-hoc duties as assigned by the management
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