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Accounts Specialist

TRIDENT DIGITAL TECH PTE. LTD.

Singapore

On-site

SGD 45,000 - 65,000

Full time

Today
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Job summary

A technology services company in Singapore is seeking an Accounts Specialist to manage daily accounting operations, including accounts receivable and payable, staff claims processing, and compliance reporting. The ideal candidate has relevant accounting experience and strong attention to detail. Candidates can apply via hr@tridentity.me.

Qualifications

  • Experience in accounting or similar roles.
  • Proficient in Microsoft Excel and accounting software.
  • Strong attention to detail and accuracy.

Responsibilities

  • Manage daily reconciliation of accounts receivable and payable.
  • Process staff claims and ensure compliance with policies.
  • Prepare documents for audits and support cash flow forecasting.

Skills

Data reconciliation
Data Entry
Verification of incoming funds
Communication
Job description
Summary

The Accounts Specialist is responsible for day-to-day operation in accounting; managing account reconciliations, bookkeeping activities, tallying of sales reconciliations and variance analysis.

Job Description
1. Accounts Receivable
  • Data reconciliation: Conduct daily reconcile accounts receivable with customer payments in our internal application and update the sales report. Reconcile customer collections with the payment gateway to ensure no discrepancies. If any discrepancies are found, liaise with the respective department.
  • Data Entry: Create the invoice details into the accounting system or tracking list.
  • Verify incoming funds: Check bank statements to confirm receipts and enter all incoming funds into the accounting system.
  • Review the AR aging report and follow up on payments for outstanding invoices.
2. Accounts Payable
  • Data Entry: Enter supplier invoice details into the accounting system.
  • Process payments: Ensure payments are made accurately on twice monthly.
  • Conduct monthly reconciliation of accounts payable with supplier statements of account (SOA), ensuring accuracy and resolving any discrepancies.
  • Review the AP aging report and follow up on the outstanding invoices.
3. Staff Claim Processing
  • Prepare staff claims with their supporting documents and check with the claim policies.
  • Execute payments accurately with complete documents within established timelines.
4. Compliance and Reporting
  • Audit Support: Provide documentation and support for internal and external audits related to accounts.
  • Work with various departments to ensure all purchases are properly matched with invoices.
  • Collaborate with various departments to provide data for cash flow forecasting and budgeting.
5. Others
  • Monitor on the Fixed Assets register.
  • Update the Balance Sheet schedules.
  • GST submission.
  • Sales analysis report.
  • Bank reconciliation.
  • Other Ad-hoc as assigned.

Click "Apply now" or drop us an email with your updated resume at hr@tridentity.me !

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