Job Responsibilities:
· General accounting including General Ledger up to Trial balance (include passing Journal Voucher)
· Preparation of Treasury package reporting and cash flow management
· Monthly preparation of Management report / Inventory report / Notes to the Accounts
· Quarterly preparation for Cash Flow statement / Balance Sheet
· Oversee Account Receivable / Account Payable scope of work
· Reconciliation for inter-companies’ balances and obtain inter-companies’ confirmation during month-end closing
Job Requirements
· Degree / Higher Diploma in Accountancy
· Minimum 3 to 5 years relevant experience in full set and reporting
· Able to meet deadlines and work under pressure
· Proficient in Excel Functions (V Lookup & Pivot Tables)
· Experience in SAP a plus or with other Accounting software
· Proactive with a strong sense of responsibility, committed & possess a "can do" attitude
Registration No: R22104771
EA Licence No: 22C1376