Handle a full set of accounts & accounting functions to ensure accuracy & compliance with current accounting practices & principles.
Ensure timely submission of monthly accounts, management reports, forecasts, and budgets.
Ensure that all accounting and treasury functions are properly administered, controlled, and monitored.
Timely reconciliation of all Balance Sheet accounts with related Balance Sheet schedules and analysis, including intercompany transactions.
To liaise with bankers, auditors, tax agents, company secretaries, and all government and other regulatory bodies about finance, accounts, and tax matters.
To handle ad-hoc financial matters and projects assigned from time to time.
Ensure and maintain effective internal control policies.
To support and monitor plans for driving the company to achieve its objectives.
Requirements:
Degree/Diploma in Accounting, Finance or related field
3–5 years of relevant accounting/finance experience
Professional qualification is an advantage but not mandatory
Preferably with audit experience
Strong analytical and problem-solving skills
Willing to handle AR/AP functions as part of the role.
Well-versed in Microsoft Excel, Word, and preferably in Microsoft Dynamics GP.