Job
Responsibilities :
Manage and reconcile daily income and
expenses.
Collect and review source documents,
ensuring the legality and accuracy of reimbursement procedures and
original invoices.
Record daily cash and bank
deposits, accurately input data into the system, print bank
receipts, and prepare bank reconciliation statements.
Responsible for numbering, binding, preserving, and
archiving financial vouchers and related documents.
Reconcile basic office accounts and compile financial
management statistics.
Undertake other tasks
assigned by the Accounting
Supervisor.
Job
Requirements :
Associate's degree or higher in Accounting or Financial
Management.
Minimum of 1 year of experience in
a cashier / treasury role; local residency preferred.
Proficient in financial software and office applications
such as Excel and Word.
Capable of clear,
accurate, and timely bookkeeping; ensuring daily and monthly
account reconciliation, and accurate and timely report
preparation.
Conscientious with a professional
work attitude.
Familiar with national
financial policies, accounting, and tax regulations, and proficient
in bank settlement operations.
Prior
experience in the blockchain financial industry is a
plus.
Account Payable • Singapore