Job Requirement:
- University graduate in accounting or finance (professional qualification holder or studier preferred)
- Working knowledge of MS Office software, esp. MS Excel
- Fluent in English is a must (both oral and written)
- Excellent interpersonal and communication skills
- Able to work under pressure and able to prioritise workload to achieve on time accurate results
Job Description:
- Perform balance sheet reconciliations at month end
- Prepare monthly financial and management reports for both internal and external reporting purposes.
- Assist in cash flow forecast
- Support annual group audit and local company audit
- Assist in Tax computation and filing
- Calculate unit price and issue invoice and tax invoice to customer
- Process financial data in SAP (SAP experience preferred, but not compulsory, training will be provided).
- Other ad hoc works assigned by the manager.