The Finance Executive reports to the Assistant Manager, Finance assist in the monthly closing books and preparation of monthly audit schedules.
Responsibilities
Donation Module (DM) and Bank reconciliation
a) Collection of Paypal income for Dover Park Hospice (DPH) for DBS account 2
b) Maintain proper accounting records for receipts and perform bank reconciliation
c) Key in donations received daily and reconciles the transaction history report against the daily collection
d) Record donations into Business Central (BC) accounting system – Donor Module:
e) Printing of Thank you letters and Donation receipts weekly
f) Updates all receipts including Donations into the BC accounting system
g) Monitor restricted donations report
Fixed Assets
Post Fixed Asset Entries into BC (Additions; Depreciation; Disposals)
Prepare Yearly Fixed Asset listing for Head of Department (HOD) for their verification
Conduct Yearly Fixed asset sighting with HOD
Prepare Annual Fixed Asset Schedule for audit purpose
Others
Send out debtor Statement of accounts
Handle PalC accounts
Monthly Closing / Reporting
a) Monthly Closing deadline
b) Prepare Monthly Balance Sheet Schedules;
c) Any ad hoc reconciliations and reports to be assigned
Year End Reporting
a) Assist in Financial Year End Closing - preparation of all required reconciliations and audit schedules
b) Assist in Internal, External, Project and MOH Audits
c) Assist in Preparation of Annual Budget
Any Special Projects / Ad Hoc Duties assigned
Job Requirements
* Der Gehaltsbenchmark wird auf Basis der Zielgehälter bei führenden Unternehmen in der jeweiligen Branche ermittelt und dient Premium-Nutzer:innen als Richtlinie zur Bewertung offener Positionen und als Orientierungshilfe bei Gehaltsverhandlungen. Der Gehaltsbenchmark wird nicht direkt vom Unternehmen angegeben. Er kann deutlich über bzw. unter diesem Wert liegen.