Jobscope
- Prepare and responsible for monthly group consolidated financial statements
- Responsible for Group’s treasury related matters
- Lead a team and responsible for monthly closing of accounts, preparation of reports, schedules and variance analysis for a group of companies
- Responsible for GST filling, income tax computation and filling as well as yearly statutory financial reporting
- Review and post all accounting transactions
- Review payments to suppliers and monthly invoices
- Execute credit control including responsible for monitoring of account receivables collection and cash flow
- Assist in internal control and risk management for group of companies
- Ensure compliance of financial authority limits, financial reporting standards (FRS), company policies and other regulations
- Assist in preparation of financial budget and yearly forecast.
- Liaise with auditor for yearly statutory audit and periodic internal audit
- Liaise with tax agent for tax filling
- Any other ad-hoc duties as assigned
Requirements:
- At least 3 years of audit experience is required;
- Experience with internal control, deferred tax, and GST is highly preferred
- Preferably have knowledge of Xero accounting system
- Possess good working attitude and strong sense of responsibility
- Strong analytical, problem solving and interpersonal skills
- Able to meet tight deadlines for monthly closing