Roles & Responsibilites
Responsible for full set accounts, reconcilication reports
Ensure prompt year end andmonth-end closings
Prepare monthly financial reporting, management reporting
Prepare and update tax and audit schedules
Able to generate monthly P & Lreport for management review
Maintining bank account balance
Able to handle taxation submission,GST
Oversee overall cashflow management, rolling cashflow projections
Monitor and update outstanding payment, collections and recoveries
Support treasury management and weekly cashflow reporting
Requirements
Tertiary education in Accounting
Meticulous and attention to details
Good analytical and coordinating abilities
Prior experience in construction industry is strongly preffered
Able to work independently, dynamic with initiative within timeline
A good team player and able to multi-tasking
* Knowledge of SAGE300 ERP for accounting and WIP construction method will be preferred
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