Responsibilities:
· Perform Accounts Payable & Accounts Receivable functions, including data entry
· Prepare billing, process payments & reimbursements
· Verify invoices, preparation of payment and recording of payments
· Monthly Bank, AP & AR reconciliations
· Maintain proper documentation and filing
· Handle intercompany transactions and reconciliations
· Perform month-end closing activities
· Prepare audit schedules and liaise with auditor on year-end audit
· Assists in annual audit process
· Other ad-hoc tasks as assigned by Finance Manager or Group Finance
Requirement:
· Candidate must possess at least Diploma in Finance or Accounting / ACCA Applied Skills level or equivalent academic qualification
· Minimum 2 years of working experience in an MNC is preferred
· Intermediate proficiency in Microsoft Excel (especially V-Lookup & Pivot Table)
· Strong team player with ability work independently
· Good time management
· Experience with NetSuite Oracle is an added advantage