Key Responsibilities
- Responsible for ensuring all financial transactions of an organization are recorded systematically and accurately.
- Provide day-to-day leadership and work with finance staff to ensure a high performance
- Handle the cash flow and manage the AP
- Able to maintain and manage a full set of accounts
- Prepare accounting schedules, reconciliation of accounts, management and cash flow reports
- Ensure timely and accurate month-end closing financial reporting to the Management.
- Coordinate and liaise with external parties such as external auditors, Bank’s RM,local tax and government authorities when needed.
- Assist external auditor for yearly audited GTO reports.
- Need to organize the insurance of warehouse (once per year).
- Handle the office petty cash.
- Experience with Xero and QuickBooks software will be advantageous.
- Any other ad hoc duties as assigned by the Management.
Job Requirements
- Recognized Degree in Accountancy or equivalent
- Minimum 8 years of relevant working experience, of which at least 2 years of experience in a managerial or supervisory role
- Meticulous, organized and able to work well with tight deadlines
- Independent individual with the ability to multi-task and liaise with all levels
- Possess excellent written, communication and interpersonal skills