Roles & Responsibilities
- Prepare GL journals and manage the monthly financial close process in a timely and accurate manner.
- Cash management planning such as review cashflow forecast, ensure sufficient cash balances for operation needs.
- Responsible for inter-company and bank reconciliations.
- Prepare audit schedules or balance sheet reconciliation to ensure items are clear off on timely basis.
- Prepare financial forecasts.
- Oversees GST submission and reconciliation.
- Assist with internal and external audit processes and controls as required.
- Perform any other duties as assigned.
Requirements
- Degree/Diploma in Accountancy or equivalent professional qualification.
- Candidate with at least 3 years working experience in construction environment is preferred.
- Experience in Sage 300 (Accpac) would be an advantage.
- Able to work independently.
- Team orientated, responsible and possesses good working ethics.