Roles & Responsibilities
Roles & Responsibilities
- Prepare and manage full sets of financial accounts independently, month end closing, monthly reporting, year-end closing and year-end reporting.
- Review and oversee daily accounts payable transactions and payment processes.
- Monitor monthly accounts receivables transactions and collection status.
- Manage monthly intercompany transactions effectively.
- Record necessary journal entries accurately and timely.
- Prepare and submit quarterly GST returns in compliance with regulatory requirements.
- Provide supervision and guidance to the finance executive and finance assistant.
- Prepare audit schedules and support for the annual statutory audit and corporate tax procedures.
- Collaborate with auditors and tax agents to address queries related to tax and audit, and statutory matters.
- Monitor cash flow position and forecasts to ensure adequate liquidity.
- Support management reporting, variance analysis, and budgeting processes.
- Identify and implement process improvements to enhance finance workflow and internal controls.
- Support communication with the corporate secretary and handle ad-hoc reporting duties.
- Undertake any additional tasks as assigned.
Job Requirements
Diploma / Degree in Accounting, Finance or its equivalent.Minimum 5 years of accounting experience with full set & management reporting.Proficient in Microsoft Excel and accounting softwareSelf-motivated, able to work independently with minimal supervisionPositive, organised, proactive, meticulous, and good time managementStrong sense of task ownershipTell employers what skills you have
Accounts Payable
Microsoft Excel
Tax
Corporate Tax
Journal Entries
Variance Analysis
Internal Controls
Accounting
Time Management
Budgeting
Regulatory Requirements
Cash Flow
Audit
Able To Work Independently