Key Performance Outcome Measurements
· Maintain and update financial records, including accounts payable and receivable, general ledger entries, and expense reports.
· Prepare accurate and timely financial statements, balance sheets, income statements, and cash flow statements.
Main Duties and Responsibilities
- Prepare group consolidation & update management reporting
- Preparation of financial statements within specific timelines
- Perform bank and account reconciliations to verify the accuracy of transactions and account balances.
- Prepare monthly accruals and prepayments
- Coordinate and liaise with external parties like auditors, tax agents, corporate secretaries, etc
- Liaison with operations for collections, revenue reports, payment, and procurement workflow for new entity setup
- Handle intercompany transactions on time
- Prepare quarterly GST return
- Knowledge and preparation to tax submission and related matters
- Other ad-hoc administrative duties as assigned
Job Requirements
- Ability to perform consolidation
- Good interpersonal skills
- Great team player and has a positive can-do attitude
- Punctual, reliable, and approachable person with an open mind to learn the industry
- Good computer skills and familiar with accounting tools