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Job Description

Key Responsibilities:

Financial Reporting & Accounting

  • Responsible for full set of accounts, including Accounts Receivables, Accounts Payables, Cash Book, General Ledger, bank reconciliation, journal entries, payment processing, tax computation and month-end closing activities.
  • Ensure timely and accurate preparation of monthly and annual financial reports in accordance with company policies and reporting timeline.
  • Prepare audit schedules and account reconciliations, and supporting documentation for financial reporting.
  • Perform day-to-day accounting transactions including payment processing, issue Invoices/Debit Notes/Credit Notes, oversee AR matters.
  • Prepare financial statements.
  • Assist in budgeting, cash flow forecasting, and financial planning activities.
  • Liaise with joint ventures partners and related entities on accounting and reporting matters.
  • Co-ordinate with external auditors, tax agents and corporate secretaries.
  • Prepare and provide necessary documentation for internal& external audits and tax agent.
  • Assist in GST filing and XBRL.

Treasury Function

  • Liaise with bankers on banks related matters
  • Consolidate treasury information across entities and prepare monthly treasury report

Process Improvements & System Enhancement

  • Identify opportunities to improve accounting processes and efficiency through automation and best practice
  • Support system implementations and enhancements to improve financial reporting and treasury reporting capabilities.

Job Requirements:

  • Diploma in Accountancy or pursuing ACCA or degree holder
  • Minimum 2 years of working experience in full set of accounts
  • Experience in filing GST
  • Meticulous and able to meet deadlines
  • Able to work independently and as a team work
  • Proficiency in Microsoft Tools(especially in PowerPoint, Excel, Power Pivot)

More Info

Job Type:
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Job ID: 149764853

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