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Full Set Construction Accounts

Kok Keong Landscape Pte Ltd

Singapore

On-site

USD 40,000 - 80,000

Full time

16 days ago

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Job summary

An established industry player in landscape management is seeking a detail-oriented accountant to manage financial operations. This role involves preparing invoices, financial statements, and ensuring compliance with GST regulations. You will be responsible for reconciling accounts, monitoring cash flow, and producing monthly and annual financial reports. This is a fantastic opportunity for someone looking to contribute to a dynamic team and make a significant impact on the company's financial health. Join us in creating beautiful landscapes while ensuring our financial operations run smoothly.

Qualifications

  • Proven experience in full set accounting tasks and financial reporting.
  • Strong understanding of GST returns and compliance.

Responsibilities

  • Prepare invoices and financial statements for projects and maintenance.
  • Reconcile accounts payable and manage cash flow effectively.

Skills

Accounting
Financial Reporting
Data Entry
Bank Reconciliation
GST Returns

Education

Bachelor's in Accounting
Certified Public Accountant (CPA)

Tools

Accounting Software
Bank Portal Systems

Job description

Prepare issue invoices for projects and monthly maintenance based on job sheet returns.

Prepare financial statements and schedules to meet deadlines (monthly, quarterly, and yearly).

Accurately execute payment transfers via bank portals and cheque payments.

Reconcile accounts payable transactions and handle full set of accounting tasks, including data entry into the accounting system.

Track all monthly payments and expenditures, prepare General Ledger (GL) entries each month, and make necessary adjustments.

Generate monthly Statements of Account (SOA) for customers and follow up on payment arrangements for delinquent accounts (not exceeding 60 days).

Rectify discrepancies and errors in payments received and resolve all accounts receivable issues.

Monitor cash flow and perform bank reconciliations.

Produce the company's monthly and annual financial reports and assist with audits and tax matters.

Submit GST returns.

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