Job Highlights:
· Opportunities for professional growth and development
· Collaborative team environment
Responsibilites:
· Manage full sets of accounts, including the preparation of monthly management reports
· Prepare accurate cash flow forecasts to support financial planning
· Compile year-end financial statements in compliance with regulatory standards
· Reconcile intercompany balances and oversee intercompany billings
· Coordinate and facilitate audit processes, collaborating with internal and external auditors as needed
· Perform ad-hoc tasks and assignments as required
Requirements:
· Diploma/Degree in Accountancy
· Minimum of 3 to 5 years of relevant work experience
· Proven ability to work independently and efficiently under tight deadlines
· Proficient in MS Excel and Word
· Exceptional attention to detail and accuracy
· Available for an immediate start
If you're a proactive and detail-oriented individual with a passion for finance, we encourage you to apply for this exciting opportunity to join our team!