Job Summary
Manage full sets of accounts and prepare accurate financial reports to support business decisions within a dynamic healthcare group. Collaborate with internal and external stakeholders to ensure compliance and optimize financial operations.
Responsibilities
- Manage full sets of accounts including accounts receivable, accounts payable, and general ledger functions to ensure accuracy and timeliness
- Prepare and close monthly financial reports and schedules with precision to support management review
- Perform cash flow forecasting and monitor daily cash flow to inform strategic business decisions
- Verify day-end summaries from daily sales to maintain accurate financial records
- Coordinate with external auditors and bankers to facilitate financial audits and banking activities
- Undertake ad hoc financial and accounting tasks as assigned to support business needs and professional development
- Participate in rotation opportunities across other businesses within the Group to broaden financial expertise and business understanding
Required competencies and certifications
- Diploma or Degree in Accountancy, Finance, or equivalent qualification
- Proficiency in MS Excel to conduct financial analysis and reporting
- Demonstrated ability to work independently with strong analytical skills under pressure to meet deadlines
- Minimum 1-2 years of experience managing full set accounting functions, preferably in the property industry or related sectors
Other Information
- Attractive remuneration package including performance bonus
- Medical and dental benefits
- Insurance coverage