Main Responsibilities:
• Manage full sets accounts (AR, AP, GL, Bank Reconciliation and etc.) of few entities
• Assist in preparation of monthly / yearly budget, forecast cashflow and bank conciliation
• Responsible for month end closing process
• Ensuring the entries are timely entered, reconciliations are performed and sub-ledgers are balanced
• Prepare GST submission, file tax returns, ensuring compliance with tax regulations
• Prepare and review financial statements
• May require to liaise with external auditors and tax agents
• Those with Australian Accounting Standard and able to start work immediately will be advantageous
Job Requirements
• Excellent verbal and written communication skills
• Highly responsible, reliable, ability to work under pressure in a fast-paced environment
• In-depths knowledge of the industry and its current events
• Meticulous, organized and good attention to details
• Team player and able to work with all levels
• Self-motivated and an ability to take ownership of all tasks assigned
• Strong interpersonal skills and good working attitude
• Remuneration and higher roles commensurate with relevant years of working experiences
About You
• At least Diploma or Degree in Accounting, Finance, or a related field (such as LCCI, ACCA or equivalent)
• Minimum 2 years' experience in handling full sets of accounts
• Proficient in English and Chinese languages (in order to liaise with English & Chinese speaking associates)