Job Description
Reconcile repayment and disbursement data between system and bank statements
Post daily accounting transactions
Ensure accuracy in bank reconciliation on the system
Assisting in providing documents for external and internal parties
Requirements
Final year student majoring in Accounting or Finance, fresh graduates are welcome to apply
Basic understanding of accounting, financial analysis and reporting
Proficiency in Microsoft Excel is a must
Strong attention to detail and accuracy
Willingness to learn and take on new challenges
Good communication skill