Finance Officer (LC exp) | Chemical MFG | Central at TEMPSERV PTE LTD
Singapore, Southeast, Singapore -
Full Time


Start Date

Immediate

Expiry Date

10 Aug, 25

Salary

3300.0

Posted On

10 May, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Isbp, Finance, Communication Skills

Industry

Accounting

Description

Responsibilities:

  • Processing of LC / collection bills to banks for negotiation/presentation.
  • Follow up on LC / collection bills negotiated/presented with regards to acceptance, discrepancies, payments and any disputes.
  • Liaising with banks for rates on L/C confirmations and discounting.
  • Perform month-end Bank reconciliations (include loans, Notes receivables if required)
  • Process accounting data entries into accounting system (in-house SAP system)
  • Process daily outgoing remittances in the accounting system and bank’s cash management system
  • Attending to queries from banks & trading departments
  • Processing of import bills and its settlements;
  • Daily incoming mail handling;
  • Assist the finance team in ad-hoc tasks when required

Requirements:

  • Diploma in Accounting and/or Banking & Finance or GCE ‘O’ Level (with relevant experience)
  • At least 1 year experience in handling export L/C documentations and Knowledge in accounting & bank reconciliations will be advantageous
  • Preferably with experience in banking documentation and procedures involving import/export L/C, collection bills and banker’s guarantee
  • Hands-on knowledge of letter of credits and INCOTERMS. Any knowledge of the latest UCP and ISBP will be advantageous.
  • Knowledge and hands-on with MS Office applications, with intermediate level MS Excel skills
  • Good communication skills and able to work well as a team member

Interested candidates, please send your updated CV to ShaneNg@tempserv.com.sg
Tempserv Pte Ltd (06C3745)
R198359

Responsibilities
  • Processing of LC / collection bills to banks for negotiation/presentation.
  • Follow up on LC / collection bills negotiated/presented with regards to acceptance, discrepancies, payments and any disputes.
  • Liaising with banks for rates on L/C confirmations and discounting.
  • Perform month-end Bank reconciliations (include loans, Notes receivables if required)
  • Process accounting data entries into accounting system (in-house SAP system)
  • Process daily outgoing remittances in the accounting system and bank’s cash management system
  • Attending to queries from banks & trading departments
  • Processing of import bills and its settlements;
  • Daily incoming mail handling;
  • Assist the finance team in ad-hoc tasks when require
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