Job Description
- Responsible for day to day accounting activities and maintain full set of accounts including, but not limited to AP, AR, GL.
- Perform bank reconciliation, month end closing and prepare reporting package for submission.
- Ensure statutory compliances including timely submission of GST returns.
- Main point of contact with auditors, tax agent and Corporate Secretary.
- Responsible for cash management and prepare cash flow forecast. Other duties include checking of staff expense claims, petty cash claims and involve in ad-hoc assignment.
Requirements
- Min Diploma in Accountancy or equivalent; At least 3 year of relevant experience
- Self motivated and possess positive attitude
- Ability to work under pressure and independently
- Trainings will be provided for selected candidate
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