Job description
Your main role is to manage full spectrum of company accounts and facilitate smooth operation of office.
- Manage all aspects of the accounting function, including accounts receivable, accounts payable and financial reporting
- Prepare and analyse financial statements, budgets, and forecasts to identify trends and opportunities for improvement
- Collaborate with the management team to provide financial advice and support strategic planning
- Implement and maintain efficient accounting systems and procedures to enhance productivity and data accuracy
- Liaising with banks officer on bank facilities and loans
- Assist in the preparation and submission of tax returns and other statutory filings
- Review on bank reconciliation
- Analyse business operations and cost
- Prepare journal entries for month-end closing
- Facilitate and complete monthly closing procedures
- Perform reconciliation of fixed assets
- Ensure that customers funds are timely received
- Prepare and submit quarterly GST return
- Ensure compliance with tax regulations and financial reporting standards.
- Facilitate general administration functions
Job Requirements
Preferred Bachelor's degree in Accounting / Finance or related fields.Minimum 5 years of experience in accounting or auditing, with at least 2 years in a managerial role.Strong experience in monthly & quarterly closings, ensuring accuracy and complianceAnalytical skills with the ability to interpret financial data and provide actionable insights.Be able to work independently with minimum supervision.