Job Description / Responsibilities:
- Manage full set of accounts, including invoicing, receipt updates, vendor invoice processing, payment arrangements, journal entries, inter-company charges, bank reconciliation, balance sheet schedules, fixed assets registers, and general ledger maintenance.
- Manage month-end closing process and ensure all month-end journals, AP, and AR sections are closed promptly.
- Perform monthly bank reconciliation.
- Preparation of Monthly Financial Statements for Management Reporting.
- Perform any other duties as assigned by the Senior Management.
- Assist in quarterly GST preparation, annual auditing and tax.
Job Requirement:
· Preferably Diploma or Degree in Business, Accounting, ACCA or equivalent with at least 3 years of relevant working experience
· Work experience in a CPA firm would be an added advantage
· Strong accounting, taxation and payroll knowledge
· Proficiency with Microsoft Office and accounting software e.g. MYOB
· Must be initiative, multi-tasking, work independently, hardworking and meets tight deadlines;
· Resourceful, self-driven, proactive, hardworking and meticulous with positive attitude.
· Good interpersonal, communication and ability to work under pressure;
· High degree of work commitment;