Responsibilities:
- Responsible for month end closing (i.e. preparation of reporting pack – Profit and Loss, Balance Sheet, Note to Profit & Loss and Balance Sheet) and audit schedules
- Prepare bank reconciliation, intercompany recharge and reconciliation, journal entries for accrual and prepayment during month end
- Assist in monthly management reporting and budget
- Handle Statistic surveys as and when required.
- Any other accounting duties as assigned
Requirements:
- Degree n Finance/Accountancy/Banking, or equivalent
- Minimum 2-3 years working experience of handling full sets of account independently
- Proficient in SAP system and MS office skills (Excel)
- Proactive, responsible and committed team player