Temporary Finance Executive Assistant (3 months)
1) Perform reconciliation between physical asset verification against system asset listing 2) Generate weekly report and liaise with requestor to clear all pending asset disposal/transfer requests 3) Check and ensure change of asset custodian and approver forms are correctly filled 4) Follow-up and clear aged items in the GRIR account 5) Work with MMD and 1FSS to investigate and follow-up on aged payables or selected vendor SOAs 6) Follow-up on open audit issues / control issues identified 7) Other duties as assigned |