Responsibilities:
- Responsible for full sets of accounts.
- Prepare monthly financial reports, such as managing asset accounting, creating journal entries, reconciling accounts, and generating year-end financial reports.
- Responsible for complex balance sheets, P&L statements and management reporting.
- Ensure accurate and updated reconciliations of all balance sheet accounts on a monthly basis
- Complete bank reconciliations and maintain management schedules.
- Provide monthly detailed variance analysis for both balance sheet and profit and loss items, supporting management reporting.
- Manage vendor and customer invoicing and payment processing.
- Handle bank reconciliations and cash management.
- Assist with financial, tax filing processes and tax audits.
- Ad hoc duties as assigned.
Requirements:
- Degree in Accountancy, Finance or CPA/ CA qualification or equivalent.
- At least 4 - 6 years of accounting with management reporting experience.
- Prior audit experience from a CPA audit firm will be an added advantage.
Interested candidates who wish to apply for the advertised position, please send in your resume to [email protected]
EA License No: 13C6305
Reg. No.: R24120209
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