?Manage and maintain full sets of accounts, including account payables, account receivables, general ledger and bank reconciliation
?Ensure monthly closing, financial reports and schedules are prepared accurately and timely
? Maintain, ensure accuracy and completeness of fixed assets and inventories management, so that information is up to date
? Work closely and provide guidance to operational teams to ensure compliance with finance policies and procedures
? Drive financial system improvements, including ERP optimization, to enhance automation and data accuracy
? Reconcile intercompany transactions and balances with internal parties
? Identify and implement process improvements to streamline financial operations, enhance accuracy and efficiency.
? Prepare and submit GST returns and corporate tax timely and in compliance with local regulations
? Liaise with the auditors to ensure timely completion of audit and preparation of audited financial statements
? Monitor cash flow movements closely to meet operational needs and liaise with banks on treasury transactions
? Prepare annual budget and ad-hoc forecast
? Prepare relevant information requested by management for decision-making
? Support any other ad-hoc projects or duties that may be assigned
Requirements:
? Education - Diploma or Degree in Accounting with professional qualification preferred
? Experience - Minimum 5 years of relevant experience
? Computing - Proficiency in financial software and Microsoft Excel
? Establishing and Maintaining Interpersonal Relationships -- Collaborative team player with a proven ability to perform effectively in a fast-paced environment
? Principles of Accounting -- Knowledge of accounting principles and practices.
Job Types: Full-time, Permanent
Pay: $6,000.00 - $8,500.00 per month
Schedule:
Monday to Friday
Work Location: In person
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