Job Responsibilities ·
Overall responsible for full sets of accounts, including AP, AR, GL and monthly closing tasks.
Responsible in preparing journals, maintaining fixed asset register, review / monitor prepayments, accruals and intercompany etc.
Preparing accurate and timely monthly reports - management report for entities under your charge, including bank reconciliations, balance sheet schedule
Monitoring and Reporting of daily cash-flow, ensure funds are readily available.
Inventory control including performing month-end close, conducting periodic outlets stock- take, reconciliation reports of any shortages, input of stock items in Accounts system etc.
Ensuring accurate and appropriate recording and analysis of revenues and expenses; Responsible for yearly audit and tax computation ·
Quarterly - prepare GST returns.
The backup cover for Finance team members during their absence.
Opportunity to develop and take on more responsibility in line with your capabilities.
Assist in ad-hoc projects/new assignments when assigned.
Requirements:
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