Accounts Executive: GST, Month/Year-End Closings

MORRISON MANAGEMENT PTE. LTD.

Singapore

On-site

SGD 36,000 - 48,000

Full time

14 days+
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Job summary

Morrison Management Pte. Ltd. is seeking an experienced accounting professional to join our team in Singapore. The role involves handling the full set of accounting tasks independently, ensuring GST compliance, and delivering timely month-end and year-end closings.

You will prepare bank reconciliations, assist in audit enquiries, and perform analytical reviews of financial statements. Proper filing of supporting documents will be maintained to support audits and reporting.

Qualifications

  • Proficient in full set of accounting duties and month-end/year-end processes.
  • Strong understanding of accounting principles and GST reporting requirements.
  • Experience in preparing bank reconciliations and audit enquiries.
  • Ability to analyse financial statements and prepare assessment reports.
  • Maintains organized filing of supporting documents for audit and compliance.

Responsibilities

  • Handle full set of accounting work independently.
  • Prepare and submit GST reports.
  • Perform month-end and year-end closing activities.
  • Prepare bank reconciliations and reconcile discrepancies.
  • Assist in audit enquiries and provide supporting information.
  • Carry out analytical assessment of financial statements.
  • Prepare reports on assessment of financial statements.
  • Maintain proper filing of supporting documents.

Skills

Full set of accounting tasks
Accounting principles
GST reporting
Month-end closing
Year-end closing
Bank reconciliations
Audit enquiries
Financial statement analysis

Job description

Morrison Management Pte. Ltd. is seeking an experienced accounting professional to join our team in Singapore. The role involves handling the full set of accounting tasks independently, ensuring GST compliance, and delivering timely month-end and year-end closings.

You will prepare bank reconciliations, assist in audit enquiries, and perform analytical reviews of financial statements. Proper filing of supporting documents will be maintained to support audits and reporting.

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