Responsible for full set of accounts.
Ensure accuracy and timely closure of accounts.
Formulate and review existing accounting processes throughout the Company to ensure
accounting and financial reports accurately reflect the conditions of the business.
Perform variance financial analysis on the financial performances of the Company.
Prepare estimated monthly cash flow of the company.
Finalise yearly financial report and submit to Director for approval for audit purpose.
Follow-up on outstanding balance sheet items.
Liaise with external auditor and tax agent.
Liaise with bankers in relation to credit facilities, banking matters etc.
Regular checking for daily auto backup status of accounting system.
Project No. & Sales Order
Purchase Orders (PO) received and accepted by director.
Get approval for increase additional budget cost.
Create and maintenance customer details in system.
Update customer's LOA / Contract / PO into Sales Order (SO).
Review SO Outstanding Report and verify with project outstanding work.
Billing to Customer
When required, issue Delivery Order (DO) and ensure DO copy signed by customer.
Issue and sending Invoice / Credit Note.
Ensure monthly billing for progressive claim and rental.
Sending Statements and liaise with customers on payment schedule.
Prepare Debtor Aging Report with customers' payment schedule.
Accounting
Update system of all receipts including customer's payment.
Make data entries for Suppliers' invoice after verify quantity and unit rate.
· Verify total monthly Purchase Invoice in system with suppliers' statement.
Inspect every expense before proceed for payment preparation.
Submit checked Creditor Aging Report to Director for payment approval.
Prepare payment voucher for approved expenses.
· Maintain supplier bank detail in Autocount system.
sfor directors' approval.
Update monthly auto debit transactions into system as per bank statement.
Maintain journal entries, reconciliation for bank statement.
Prepare WIP report and submit to Director for reviewing.
Quarterly checking sales & purchase GST report and ensure GST captured correctly
in system according to IRAS regulations before do online submission.
Furnish all documents require by external auditor during annual audits.
Filing all record and supporting documents according to Income Tax Act and
GST Act requirement.
Knowledge of Autocount Software would be an advantage
Any other adhoc duties if assigned