Job Description
Job Description:
-Perform month end closing, variance analysis and balance sheet reconciliation
-Prepare and process journal entries for accruals, provisions, prepayment and other journals
-Update and reconcile monthly audit schedules and resolve any outstanding issues
-Intercompany reconciliation
-Liaise between relevant departments to ensure that all queries are dealt with effectively
-Assist in year end audit and tax filing
-Maintain fixed asset register and prepare fixed assets schedules
-Produce timely and accurate monthly reports to management
-Preparation and reconciliation of GST return
-Prepare/review monthly bank reconciliation
-Recommend and implement improvements in accounting systems, procedures and process to improve productivity
Requirements:
-Diploma/Degree in Finance, Accounting, Business or equivalent qualification
-Preferably with at least 3 years of accounting experiences
-Good knowledge of Microsoft application especially in Excel
-Meticulous, possess good analytical and problem-solving skills
-Able to work well under pressure and able to cope with tight deadlines
-Team-oriented, outgoing and able to work with minimal supervision
-Salary commensurate with experience
Work Experience Level:
senior level
Must-have skills:
MICROSOFT OFFICE