Roles & Responsibilities
- Handle full set of accounts and month-end/year-end closings.
- Prepare and analyse monthly financial statements, balance sheets, and other related financial reports.
- Work closely with support teams, such as Accounts Payable, Accounts Receivable, and Operation teams, to ensure accurate and timely financial information.
- Coordinate with external auditors, tax agents, and financial institutions as required.
- To draft and work with external auditor on the audit financial statement.
- Ensure timely submission of statutory filings, including GST returns, corporate tax submissions, and annual returns in XBRL format. Contribute ideas and innovations to improve existing systems, work processes, and procedures a
- ecting month-end financial close, account analysis, and financial reporting.
- In charge of Fixed Asset Listing and also Capital expenditure control.
- Provide financial analysis and budgeting support to management as needed
- To provide operating and capex budgeting reports and monitor them.
- Contribute to the implementation and improvement of accounting systems and process workflows
- Participate in ad-hoc finance projects and cross-functional initiatives as assigned.
Requirements
- Degree in Accountancy/ACCA/Chartered Accountant/CPA
- At least 5 years' experience in handling full set of accounts in commercial sector
- Good knowledge in Corporate Tax, Financial Reporting Standards, GST and Tax Laws
- Strong organizational skills, attentive to detail with the ability to meet tight reporting deadlines in a multitasking environment Strong leadership, e
- ective team player, highly motivated and able to work independently
- Ability to work in a fast-paced environment
- Good interpersonal and communication skills
- Proficient in Microsoft Word & Excel.
- Excellent attention to detail and organized.
- Experience with Power BI and data visualization tools.