Roles & Responsibilities
Responsibilities:
· Perform full sets of accounts such as AR, AR, payments, receipts, invoicing and general ledger functions.
· Perform month-end, year-end closing, and audit schedule.
· Prepare monthly bank reconciliation.
· Assist in enquiries from external auditors for interim and statutory audits.
· Work with auditor, tax agent and corporate secretary for regulatory compliances.
· Report to Manager on budgeting, cashflow planning.
· To compile quarterly GST reconciliation for submission.
· Participate in annual stock count and reconciliation.
· Maintain good documentation and filing system.
· Ensure compliance with existing internal controls including external/internal audit requirements.
· Participate in internal audit.
· Perform ad-hoc task as assigned.
Requirements:
· Candidates should possess at least a CAT/ACCA Level 2 and or diploma in Accountancy or equivalent.
· Candidates should have at least 2 years of working experience
· Proficient in MS Excel
· Meticulous with an eye for a detail.
· Able to work independently and effectively under pressure to meet deadlines.
· Attention to detail and able to multitask.
· Able to thrive in a fast-paced environment.
· Effective communication in English.