Kow Suit Mei Charlie
Seniour Accounts Executive at GLOBAL CORPORATE ADVISORY PTE. LTD.- Claim this Profile
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Bio
Experience
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GLOBAL CORPORATE ADVISORY PTE. LTD.
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Singapore
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Accounting
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1 - 100 Employee
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Seniour Accounts Executive
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Mar 2021 - Present
Handling client full set accounts Drafting unaudited financial statement Corporate tax computation and submission Quarterly GST submission Bank reconciliation Handling client full set accounts Drafting unaudited financial statement Corporate tax computation and submission Quarterly GST submission Bank reconciliation
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City Life Advertising Pte Ltd
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singapore
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Account Executive
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Jun 2013 - Feb 2021
• Performed accounts payable • Issue Cheques and Online payment (FAST/Paynow/Giro) • Review AP aging report • Daily Bank reconciliation • Managed vendor accounts, generating weekly on demand cheques. • Create customer/supplier database • Check sales and purchase invoices • Enter data into programs Accounting system (currently using Xero) • Pass journal entries for month end closing • GST Reconcile report (Quarterly) • Prepare GST F5 return and submission for Approval • Commission computation for Sales person/Sub-contractor • Cost match revenue report • Prepare weekly cash flow • Compute project costs (Properties) • Sales forecast weekly • Issue invoice (inter-company) • Prepare Payroll schedule for inter-company • Full set Accounts for inter-company • Corporate tax submission (inter-company) • Ensured compliance with accounting deadlines Show less
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Y L Leong & Co, Sg
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Singapore
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Assistance Accountant
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Sep 2012 - May 2013
• Handle full set of account (P&L, Balance sheet, etc.) • Handle daily accounting matters • Monthly Bank reconciliation • Enter data into computer programs (MYOB) system • Pass journal entries for Year End closing • Prepare schedule for audit purpose • GST return (FORM 5) check and submission • Monthly CPF submission • Issue cheque • Issue Invoice • Ensured compliance with accounting deadlines • Handle full set of account (P&L, Balance sheet, etc.) • Handle daily accounting matters • Monthly Bank reconciliation • Enter data into computer programs (MYOB) system • Pass journal entries for Year End closing • Prepare schedule for audit purpose • GST return (FORM 5) check and submission • Monthly CPF submission • Issue cheque • Issue Invoice • Ensured compliance with accounting deadlines
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Chew Wai Koon & Co., Ipoh, Malaysia
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Malaysia
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Tax & Accounts Assistant
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May 2010 - Jul 2012
• Handle full set of account (P&L, Balance sheet, etc.) • Handle daily accounting matters • Monthly Bank reconciliation • Pass journal entries for yearend closing • Taxation (company/partnership/personal) • Ensured compliance with accounting deadlines • Handle full set of account (P&L, Balance sheet, etc.) • Handle daily accounting matters • Monthly Bank reconciliation • Pass journal entries for yearend closing • Taxation (company/partnership/personal) • Ensured compliance with accounting deadlines
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Education
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kompas international college