Responsibilities:
- Maintain partial set of accounts (willing to pick up full set) and prepare timely management reports for multiple entities.
- Process monthly journal entries, schedules and bank reconciliations.
- Manage loan covenants and ensure compliance with bank requirements.
- In-charge of cash flow management.
- Prepare monthly, quarterly and annual financial statements for stakeholders.
- Handle GST filings and submission.
- Assist with year-end financial closing and audit processes.
- Liaise with external partners (company secretary, tax agents, auditors and banks).
- Assist in the setup & strike off companies with company secretary.
- Support the preparation of financial forecast and budgeting.
- Perform general administrative tasks.
- Perform other ad-hoc duties as assigned.
Requirements:
- Proficient in MYOB & Microsoft Excel.
- Matured, organized and meticulous with the ability to handle multiple tasks under tight deadlines.
- Work independently in a fast-paced environment.
- Report to Finance Manager.
- Able to start work immediately.
- Diploma/Degree in Accounting or equivalent.