Average salary: SG$2,700 /monthly

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  •  ...and be a strategic finance partner to support key decision making Key participant in S&OP meetings, driving demand and finance reconciliations. Manage risks and opportunities processes and creating contingency plans and scenarios to meet expectations Drive key... 

    BD

    Pasir Ris
    4 days ago
  •  ...do Assist in month‑end closing and reporting activities, ensuring Trial Balances are closed accurately and on time. Perform reconciliation of Balance Sheet accounts within specified timelines, liaising with stakeholders to investigate and resolve outstanding balances.... 

    OCBC Bank

    Pasir Ris
    4 days ago
  •  ...Ability to multi-task , prioritize work and work independently. ~ Experience in MS Excel, SQL and database and performing data reconciliation. ~ At least 5 yrs of relevant experience in Project and Problem Management ~ Experience in Leading Team ~ Knowledge of Financial... 

    Citi

    Pasir Ris
    26 days ago
  •  ...Accounts Payable payment and Accounts Receivable. • Journal entries for month – end & year end closing • Performing monthly bank reconciliation and balance sheet reconciliation • Preparing and manage annual budgets and regular monitoring • Producing accurate management... 

    CEREBRAL PALSY ALLIANCE SINGAPORE

    Pasir Ris
    6 days ago
  •  ...clerical supports Support in submission of monthly claim / receivables for projects Generate invoices Assist in preparing bank reconciliation, monthly finance reports, GST submissions, account receivables and payables, tax-related matters and audit-related queries... 

    LIMING ENGINEERING CONSTRUCTION PTE. LTD.

    Pasir Ris
    6 days ago
  •  ...against service level expectations. Start of day checks, continuous monitoring, and regional handover. Perform same day risk reconciliations Develop and maintain technical support documentation. Identifies ways to maximize the potential of the applications used... 

    Citi

    Pasir Ris
    26 days ago
  •  ...Description 1) Responsible for monthly closing and reporting, including but not limited to: Prepare journal entries, balance sheet reconciliations and analysis (including bank reconciliation, inter-company reconciliation, tracking and monitoring of issuance and redemption of... 

    NTUC Club

    Pasir Ris
    27 days ago
  •  ...assets, inventory records, and financial transactions Maintain and update asset registers and inventory listings Assist in stock reconciliation and periodic inventory checks Prepare and organize financial documents, invoices, and supporting schedules Support accounts... 

    Cyrus Technology (S) Pte Ltd

    Loyang, Singapore Country
    27 days ago