Responsibilities:
You will be responsible for managing cashflows, preparing management reports, statutory reports and other reports on a monthly basis. You will assist in the preparation of budgets and forecasts, maintaining accounting controls and ensure compliance with internal policies and procedures over financial reporting. You will also review postings and bank reconciliation by Finance Executives. You will review and ensure prompt regulatory submissions such as GST, as well as liaise with statutory auditors to ensure a smooth year-end audit process. You may also be required to support ad-hoc projects and initiatives, such as new system implementations.
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