Responsibilities:
Financial & management reporting, audits, budgeting, and forecasting, cashflow analysis and tax.
Managing the complete accounting cycle, ensuring accuracy in accounts payable, accounts receivable, and general ledger entries in line with the company's credit policies and procedures.
Preparing and reviewing financial statements, balance sheets, income statements, and other critical financial reports.
Able to handle overseas subsidiary companies accounts.
Work cross-functionally with Sales, Marketing, Operations, Investments teams to resolve any matters.
Assist in establishing and maintaining appropriate internal controls to ensure 100% compliance.
Participate in various finance projects and initiatives to drive process improvements and automation.
Other ad-hoc duties as required and/or assigned.
Requirements:
Accounting qualification (Diploma of equivalent)
3-5 years of accounting experience
Good knowledge of financial/accounting principles and regulatory requirements.
An excellent communicator.
Possess effective problem-solving skills
* Highly organised and independent
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