Account Executive
2 weeks ago
Job Responsibilities:
- To perform monthly Balance Sheet and Bank reconciliations.
- To verify payment vouchers for accuracy & completeness and ensure supplier reconciliation is performed correctly with no long outstanding invoices.
- To support the Cost Controller in carrying out monthly inventory checks if required.
- To support Cost Control function in the absence of the Cost Controller.
- To assist in the preparation of all financial statements, income statements, forecasts, and budgets.
- Performs any other related duties that may be assigned from time to time by the Finance Manager or the Management.
Requirement:
- 2-3 years of experience in handling GL.
Tell employers what skills you have
Forecasting
Budgets
Inventory
Journal Entries
Administration
Accruals
GAAP
General Ledger
Adaptability
Accounting
Financial Statements
Audits
Budgeting
Cash Flow
Financial Closing
Performance Management
Cost Control
Financial Reporting
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