JR Group – Accounts Assistant (Part-time)

Company
JR Group
shdfood.com.sg
Designation
Accounts Assistant (Part-time)
Date Listed
17 Oct 2022
Job Type
Entry Level / Junior Executive, Experienced / Senior Executive
Part/Temp
Job Period
Immediate Start, For At Least 3 Months
Profession
Accounting / Auditing / Taxation
Industry
Food Services / F&B
Location Name
Senoko South Road, Singapore
Address
Senoko S Rd, Singapore
Map
Allowance / Remuneration
$12 hourly
Company Profile

JR Foods was established in 2001 with the objective of providing restaurant quality meals in a convenient format, suitable for busy working professionals to prepare home-cooked meals and dining with their loved ones as well as for restaurants with limited kitchen facility. To achieve that, JR Foods was one of the early pioneers in the adoption of cook-chill and cook-freeze technology in the manufacturing of ready meals suitable for both the home and the food service retail sectors. Its core brand was JIAYEN, a range of menu dishes that home cooks and restaurants can regenerate by reheating in the oven and serve.

JR Foods vision and mission is to be a global leader in the production of quality and healthy ready-meals through the adoption of ever-changing technology and innovation to serve the needs of the current and next generation of consumers. It is also focused on providing food solutions to the food service sector that are relevant, innovative, consistent quality and convenience.In the last 15 years, JR’s business portfolio has expanded beyond ready-meals manufacturing to include Food Services, large-scale Event Catering, Restaurant Operations, and Vending Operations.

Job Description
  • Process sundry suppliers’ invoices and payments including staff claims.
  • Responsible for day-to-day accounts receivable duties including cash management.
  • Daily updates of journal entries into accounting system.
  • Maintain and create new customers, suppliers and general ledger accounts in accounting system.
  • Verify accuracy of AP payment, claims and petty cash reimbursements and revenues.
  • Monitor and prepare to deposit cash and cheques received from outlets and customers into the bank.
  • Handle queries with suppliers and staff.
  • Any other appropriate duties and responsibilities as assigned.

 

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