Job Description:
- Full time book keeping, management reporting, financial reporting, tax filling and budget preparation.
- Full time transaction and account reconciliation on daily basis.
- Occasionally initiate or approve bank transfer in accordance with system instructions.
- Occasionally send or acknowledge transaction confirmation with counterparties.
- Prepare reports as required by law, regulations or company policies.
- Prepare budget and forecast for the Group.
- Research and analyse financial reports and market trends.
- Liaise with external auditors, tax agents, banks and any other vendors in relation to accounting and finance activities.
- Look into strengthening current internal control and process improvement.
- Any other job as assigned by superior.
Requirements:
- At least Diploma / Degree in accounting or related discipline from a recognise institution.
- 5-8 years of working experience in related field.
- Experience in nostro or bank account reconciliation is preferable.
- Knowledge in foreign exchange would be advantageous.
- Ability to work with minimum supervision.