Responsible
- Manage the day-to-day operations of the cash sales and bank reconciliation activities
- Monthly closing activities related to Cashbook transactions are performed completely and accurately within the agreed timeframe
- Review the Sales Reconciliations between the Point of Sales System, Merchant Bank, Cash-In-Transit company, and Financial System done by BPO partner
- Support the timely completion of statutory/corporate audits as required
- Internal and External Stakeholder Liaison and relation management for smooth operation
- Ensure that corporate records are available upon request from authorities
- Liaise with bank’s operation team for bank related matters (charge-back, double charge, etc)
- Other ad-hoc activities as required
Requirements
- Minimum Degree in finance/accountacncy related field
- Prior of working experience in accounting function in MNC environment
- No Experience are welcome to apply
To find out more about this opportunity, please contact Arcus Ang at Arcus.Ang@gmprecruit.com
We regret that only shortlisted candidates will be notified.
GMP Recruitment Services (S) Pte Ltd | EA Licence: 09C3051 | EA Personnel: Arcus Ang | Registration No: R1985843