- Prepare and review monthly journal entries.
- Cash flow management.
- Review payment for subsidiaries and intercompany monthly confirmation.
- Prepare for corporate income tax filing.
- Review GST working prepare by assistant.
- Liaise with bankers, external auditors, corporate secretarial and tax agents, etc.
- Assist in Group monthly/quarterly/half yearly financial reports.
- Ensure timely submission of ECI/Tax submission for the Group.
- Annual budget preparation.
- Perform any other ad-hoc projects or duties as assigned.
Job Requirements:
- Degree with 3-5 years of experience in cash flow, budget and liaison with bankers, auditors, corporate secretarial and tax agents.
- 5 day work week.
Interested applicants, please email your resume to [email protected]
E-Ployment Consultancy
EA License No: 09C0884
EAP Name/ Registered No: Ivan/ R1108310