Job Description
- Perform daily accounting & finance duties including receivables and payables processes, general ledger and bank reconciliation.
- Ensure completeness of sales/ liabilities transactions recorded.
- Perform month-end financial closing according to Company's reporting timeline.
- Prepare accurate month-end management reports.
- Update and maintain balance sheet schedules on a timely basis.
- Assist in annual financial audit/ tax returns and queries.
- Support other business units when accounting and finance inputs are required.
- Support and perform ad-hoc tasks when required.
Requirements
- At least 4 yrs experience in handling full set of accounts.
- Able to work within timeline.
- Willing to learn and work as a team.