Roles & Responsibilities
· Handlg full set of accounts
· Preparing of monthly management accounts, financial reports, budgets etc.
· Ensuring timeline is met for regulatory reporting purposes.
· Handling income tax and GST matters
· Experience in preparing group consolidation accounts will be an advantage
· Budgeting and forecasting for the business.
· Strengthening current internal controls and process improvement.
- Prepare month-end & year-end closing journals;
- Compile financial reports for management in accordance to policies & procedures;
- Ensure bank sheet reconciliations are completed on a timely and accurate manner;
- Prepare daily cash balance report and daily bank statements for abnormalities;
- Prepare quarterly GST submission;
- Other duties as assigned.
Requirements:
· Candidate must possess at least a Bachelor's Degree, Professional Degree, Finance/Accountancy/Banking, Others or equivalent.
· At least 3 year(s) of working experience in the related field is required for this position.
· An analytical mind.
· Negotiation skills and the ability to develop strong working relationships.
· Good communication skills – both written and verbal.
· A keen eye for detail and desire to probe further into data.
· Ability to stick to time constraints.