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Manage and reconcile inter-company accounts
Reimbursement every month of Petty Cash
Issuing invoices and collect payment from Distributors/OEM
Checking the inventory
Check and recording data at MYOB of monthly reimbursement of expenses, purchases, sales and receipts
Checking and tallying the monthly Sales Report
Reconciling the company’s bank statements and bookkeeping ledgers
Managing income and expenditure accounts
Generating the company’s financial reports using income and expenditure data
Keeping a check on the company’s finances based on financial status
Filing and remitting taxes and other financial obligations
Initiating and managing financial and accounting software used by the company
GST reporting and submission online at IRAS and other government submissions
Process Full Set of Book of Accounts
Reporting every month the status of finance,...