Responsibilities: Responsible for month end closing and reporting Prepare accounts journals and audit schedules, general ledger, and bank reconciliation Ensure accuracy in reporting of financial matters, results, and management reports Prepare and analyze GST reporting and tax information Review invoices, journal vouchers, schedules, batch payments and staff claim Work closely with auditors and tax agents for year-end audits and tax filing/ compliance Ensure compliance with statutory and regulatory requirements Any other duties as assigned from time-to-timeRequirements:
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