Job Responsibilities
- Handle full set of accounts and ensure timely closing
- Provide management reports monthly & yearly & Audit Schedule to Finance Manager
- Prepare/Review quarterly GST submission
- Ensure inter-company transactions tally among multi-companies
- Prepare monthly bank reconciliation
- Ensure all filing is done in a timely and accurate manner
- Making sure compliance with all legislative tax & financial reporting policies and requirements
- Perform any other duties as assigned by the management
- Liaise with external auditor
Requirements
- Software skills: Advanced MS Excel, word & Million software preferably
- Positive working attitude