Prepare and oversee full set of accounts including Cash & Bank, GL, Intercompany, AP, AR, Fixed Assets, accruals and provision
Ensure compliance with accounting standards, statutory requirements, tax regulations and audit requirement.
Monitor cash flow, banking transactions, and manage AP and AR balances to support effective working capital.
Prepare accounts reconciliations and proper documentation of balance sheet schedules.
Support tax compliance matters, including tax filings and GST & SST matters where required.
Utilization of banking and trade facilities to support the regional operational and funding requirements.
Support Finance manager to improve budgeting, cost efficiency, and profitability.
Liaise with auditors, tax agents, bankers, company secretaries, and relevant authorities.
Participate in process improvement initiatives to enhance efficiency and strengthen financial controls.
Undertake ad-hoc assignments and projects as assigned.
Qualification & Required Experience:
Bachelor's Degree in Finance, Accounting, or related field. Professional accounting certification (ACCA, CPA or equivalent) would be advantageous.
Minimum 3 - 5 years of relevant accounting experience.
Experience with ERP accounting systems (SAP preferred) and strong proficiency in Microsoft Excel, Power BI etc.
Good understanding of accounting standards, taxation, and local banking instruments.
Strong interpersonal, and communication skills, and possess good business acumen with the ability to understand operational and financial impacts on the business.
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Duties and Responsibilities:
Prepare and oversee full set of accounts including Cash & Bank, GL, Intercompany, AP, AR, Fixed Assets, accruals and provision
Ensure compliance with accounting standards, statutory requirements, tax regulations and audit requirement.
Monitor cash flow, banking transactions, and manage AP and AR balances to support effective working capital.
Prepare accounts reconciliations and proper documentation of balance sheet schedules.
Support tax compliance matters, including tax filings and GST & SST matters where required.
Utilization of banking and trade facilities to support the regional operational and funding requirements.
Support Finance manager to improve budgeting, cost efficiency, and profitability.
Liaise with auditors, tax agents, bankers, company secretaries, and relevant authorities.
Participate in process improvement initiatives to enhance efficiency and strengthen financial controls.
Undertake ad-hoc assignments and projects as assigned.
Qualification & Required Experience:
...
Bachelor's Degree in Finance, Accounting, or related field. Professional accounting certification (ACCA, CPA or equivalent) would be advantageous.
Minimum 3 - 5 years of relevant accounting experience.
Experience with ERP accounting systems (SAP preferred) and strong proficiency in Microsoft Excel, Power BI etc.
Good understanding of accounting standards, taxation, and local banking instruments.
Strong interpersonal, and communication skills, and possess good business acumen with the ability to understand operational and financial impacts on the business.
show more
skills
no additional skills required
qualifications
no additional qualifications required
education
Bachelor Degree
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Duties and Responsibilities:Prepare and oversee full set of accounts including Cash & Bank, GL, Intercompany, AP, AR, Fixed Assets, accruals and provisionEnsure compliance with accounting standards, statutory requirements, tax regulations and audit requirement.Monitor cash flow, banking transactions, and manage AP and AR balances to support effective working capital.Prepare accounts reconciliations and proper documentation of balance sheet schedules.Suppor
Duties and Responsibilities:Prepare and oversee full set of accounts including Cash & Bank, GL, Intercompany, AP, AR, Fixed Assets, accruals and provisionEnsure compliance with accounting standards, statutory requirements, tax regulations and audit requirement.Monitor cash flow, banking transactions, and manage AP and AR balances to support effective working capital.Prepare accounts reconciliations and proper documentation of balance sheet schedules.Suppor
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