Accounts Receivable & Finance Support Specialist

LIE YANG CONSTRUCTION PTE. LTD.

Singapore

On-site

SGD 48,000 - 64,000

Full time

8 days ago
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Job summary

LIE YANG CONSTRUCTION PTE. LTD. in Singapore is seeking a finance professional to manage accounts receivable and support the Finance Manager with analysis and audit preparation.

You will enter daily receipts, maintain journals, respond to customer queries, and prepare monthly receivable reports to aid decision-making. This role offers exposure to end-to-end accounting processes within a collaborative finance team.

Responsibilities

  • Manage the accounts receivables function to ensure accurate tracking and collection of payments
  • Update and maintain accounting journals to reflect current financial transactions
  • Enter daily receipts into the accounting system to maintain up-to-date records
  • Process staff expense claims accurately and in a timely manner
  • Verify that all accounting entries are charged to the correct account codes to ensure proper classification
  • Respond to customer queries regarding daily financial transactions to resolve issues promptly
  • Submit financial reports on time with accuracy to support business decision-making
  • Generate monthly accounts receivables reports to monitor outstanding balances and cash flow
  • Assist the Finance Manager with various accounting tasks to support overall financial operations
  • Perform account analysis and prepare audit schedules to facilitate internal and external audits
  • Execute other ad-hoc accounting duties as required to support the finance team

Skills

Accounts receivable
Journal entries
Audit support

Job description

LIE YANG CONSTRUCTION PTE. LTD. in Singapore is seeking a finance professional to manage accounts receivable and support the Finance Manager with analysis and audit preparation.

You will enter daily receipts, maintain journals, respond to customer queries, and prepare monthly receivable reports to aid decision-making. This role offers exposure to end-to-end accounting processes within a collaborative finance team.

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