Job Responsibilities:
• Handle full sets of accounts
- Cash flow management and projection
- Preparation of quarterly GST, financial statements and reporting
- Handle day to day account operations and month end closing
- Prepare audit schedules
- Update cashflow report, prepare journal entries
- Liaise with external agents on matters relating to audit and tax
- Matching POs, DOs and invoices documents
- Liaising with vendors for shipping and logistics matters
- Inventory management including liaising with warehouse for stock matters and half yearly stock take
- Assist to prepare management accounts and group consolidation accounts
- Liaise with bank officers on bank related matters such as LC, BG, etc
- Any other ad hoc duties assigned
Qualifications and Skills:
• Experience working in a listed company
- Candidate must possess at least an Advanced/Higher/Graduate Diploma, Post Graduate Diploma in Accountancy/Commerce/Finance or equivalent.
- At least 3 year(s) of working experience in the related field is required for this position.
- Analytical, Meticulous and able to work under pressure and tight deadline.
- Experience with any computerised accounting software and proficient in MS Office.
- Good team player and able to handle people of all levels.
- Good interpersonal and communication skills