Responsibilities:
Handle full set of financial statement including P&L, Balance Sheet and Cash Flow
Statement.
Performing monthly inter-companies’ reconciliation.
Handling group’s petty cash and performing petty cash reconciliation.
Review and assist in managing Group’s daily cash flow requirement and ensure
sufficient funds for payment.
Preparing SST report and ensure on time payment submission.
Assisting with filing, data entry and recording and maintaining accurate and complete
financial records.
Handling Marina Island Group of Companies audit documents and signing
documents.
Assist the perform audit schedule for Marina Island Group of Companies.
To work closely with external auditors and tax agents to ensure timely completion of
audit, completion of audited financial statements and tax process.
Participates in the coaching of staff for specific job responsibilities/tasks.
Undertake special assignment, ad-hoc assignment and related duties as and when
necessary.
Requirements:
Diploma in Finance or Account or any other equivalent field.
At least 3 years of working experience in the related field.
Strong technical analytical and problem-solving skills.
Good personality and positive working attitude.
Proficiency in English with good communication skills (written and verbal)
Work independently with minimum supervision.
Computer literate and competent in Microsoft office and preferred have experience in
SQL system.
Perks & Benefits:
- Outpatient medical benefit
- Work/life balance
- Free parking