- Responsible for monthly financial closing, preparation of journal entries related to GL, audit schedules and bank reconciliation
- Assist the finance manager in the preparation of monthly financial and management reports
- Manage and monitor fixed assets register
- Cashflow management
- Preparation of balance sheet schedule and perform analytical review procedures of balance sheet
- Prepare GST return, corporate tax and deferred taxation and liaise with tax agent to ensure timely filing.
- Engage with external financial auditors on audit, tax and accounting issues to ensure smooth closure of year-end financial audit
- Assist with yearly preparation of budget planning.
- Conduct annual fixed asset sighting.
- Ensure that processes and systems are running in an effective and effective manner.
- Perform other duties and assume responsibilities as apparent or as assigned by the finance manager.
Job Requirements:
1. Candidate must possess at least a diploma or degree in Finance/Accountancy or Professional Accounting Qualification
2. Minimum 2 years of relevant working experience
3. Knowledge in Microsoft Excel and SAP system is preferred
4. Team player, good interpersonal skills, keen to learn and possess positive attitude
5. Able to work independently in a fast-paced environment and meet tight deadlines
6. Strong analytical skills and attention to details