Accounts Executive at DBB Pte Ltd
Singapore 159471, , Singapore -
Full Time


Start Date

Immediate

Expiry Date

02 Dec, 25

Salary

0.0

Posted On

02 Sep, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Microsoft Excel, Sap

Industry

Accounting

Description

As the Accounts Executive at DB&B, you will oversee daily and monthly Accounts Payable functions, ensuring accurate cashflow forecasting and updating financial records in SAO/ Preshow. Key responsibilities includes preparing AP reports, reconciling bank states and verifying stock transactions. You will also support journal entries, supplier payments, month-end closings and year-end audits. This role requires strong attention to detail and the ability to handle diverse administrative tasks effectively.

  • Responsible for full spectrum of daily and monthly Account Payable (AP) duties
  • Cashflow forecast to ensure sufficient fund required for payment and business needs
  • Maintain and update the daily cashbook
  • Record and update project costs in SAP and project files
  • Prepare monthly AP aging reports, AP reconciliations, and bank reconciliations
  • Manage the full set of accounts for overseas subsidiaries
  • Assist month-end closing and year-end audit
  • Verify stock items and perform stock reconciliations
  • Liaise with bank, tax agent and auditor

Requirements

  • Minimum 2 years’ of relevant experience, knowledge of SAP is an advantage
  • Excellent proficiency in Microsoft Excel
  • A proactive team player with the ability to work independently and multi-task to meet tight deadlines

Job Types: Full-time, Fresh graduate
Pay: $3,000.00 - $45,000.00 per month

Benefits:

  • Health insurance
  • Professional development
  • Work from home

Experience:

  • SAP: 2 years (Required)
  • Accounts payable: 2 years (Required)

Work Location: In perso

How To Apply:

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Responsibilities
  • Responsible for full spectrum of daily and monthly Account Payable (AP) duties
  • Cashflow forecast to ensure sufficient fund required for payment and business needs
  • Maintain and update the daily cashbook
  • Record and update project costs in SAP and project files
  • Prepare monthly AP aging reports, AP reconciliations, and bank reconciliations
  • Manage the full set of accounts for overseas subsidiaries
  • Assist month-end closing and year-end audit
  • Verify stock items and perform stock reconciliations
  • Liaise with bank, tax agent and audito
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