Preparation of full set of accounts including monthly management report with analysis report, required schedules, bank reconciliation and inter-company reconciliation.
Responsible for handling tax compliance work such as tax estimation, tax filing, tax queries, tax audit and tax payment.
Responsible for preparation of audited financial statements, notes to accounts, audit schedules and attend to auditors queries.
Identify, report and resolve accounting related operational issues, discrepancies and abnormal transactions.
Ensure compliance with accounting standards, tax regulations, company policies and SOP.
Monitor AR & AP to ensure payment collected or prepared within the timeline.
Handle account payable, receivable, general ledger and bank reconciliation.
Prepare month end closing.
Perform data entry, filling and other clerical duties as assigned.
Job Requirements
Candidate must possess at least Bachelor's Degree in Finance/Accountancy/Banking or equivalent.
Bilingual in Mandarin(Compulary) & English to communicate with Mandarin-speaking counterparts.
At least 2 years and above relevant experience.
Familiar with banking services, SQL, and Accounting Systems.