- Responsible for monthly financial closing, preparation of journal entries related to GL, audit schedules and bank reconciliation
- Cashflow management and coordinate inter-companies balances within the group for transactions & balances.
- ssist the finance manager in the preparation of monthly financial and management reports
- Preparation of balance sheet schedules and perform analytical review procedures of balance sheet
- Prepare GST return to ensure timely filing.
- Engage with financial auditors on audit and accounting issues to ensure smooth closure of year-end financial audit
- Conduct annual fixed asset sighting.
- Perform other duties and assume responsibilities as apparent or as assigned by the finance manager.
Job Requirements:
- Candidate must possess at least a diploma in Finance/Accountancy or Professional Accounting Qualification
- Minimum 2 years of relevant working experience
- Knowledge in Microsoft Excel and SAP system is preferred
- Team player, good interpersonal skills, keen to learn and possess positive attitude
- Able to work independently in a fast-paced environment and meet tight deadlines
- Strong analytical skills and attention to details