about the company
This is a tech company and they are looking for an Accountant to join the team.
about the job
In this role, you will manage the cash flow statement, liquidity planning, and interactions with banks. Responsibilities include maintaining daily cash balances, automating treasury processes, and handling accounts payable, receivable, and the general ledger. You will verify and process payment applications, maintain a payment register, and prepare various management and statutory reports. Additionally, you will assist with budget preparation, audits, tax filing, and other finance projects as needed.
skills and experience required
You should ideally be degree qualified in accounting or an equivalent. Prior experience in an Audit form with 2 years of commercial experience will be ideal. You are communicative and organised. Prior working experience in a Fintech or a startup firm will be advantageous. Benefits include hybrid work arrangement and office is at CBD area.
To apply online please use the 'apply' function, alternatively you may contact Clara Oh. (EA R22111662)