Job Responsibilities
- Handle full sets of accounts (AP, AR and G/L) including preparation of journal entries, Balance Sheets, Income Statements & other reporting schedules
- Responsible for inter-company billing, bank reconciliations and preparation of year-end financial statements
- Assist in preparing the annual budgets and monthly update of forecasts
- Maintain and update records for fixed assets including the provision of depreciation according to accounting policy.
- Prepare and submit quarterly GST and BAS return
- Prepare bank instructions, fund transfers and process online payments
- Perform and provide the analysis and interpretation of financial results/performance
- Liaise with external parties and auditors for yearly audit and to provide all required schedules/reports for audit and tax purpose
- Assist in various ad hoc finance projects and initiatives
Job Requirements
- Degree/Diploma in Accountancy or equivalent
- Minimum 2 - 3 years’ relevant experience
- Solid hands-on experience in preparing full set of accounts
- Detail-oriented and able to work under tight deadlines
- Good analytical, and problem-solving skills
- Strong working knowledge of accounting principles (FRS) and proficiency in financial accounting
- Fluent with MS office applications
- Resourceful and able to adapt in fast paced environment
- Possess the right positive “can do” attitude
- Experience in working in public listed company, preferred
- Experience in consolidation is a plus
- Able to start immediately/short-notice