To control, monitor and reconcile inter-company transactions and balances.
To perform GL review and checking, prepare/review the journal voucher for accounts adjustments/correction, perform periodic variance checking and analysis.
Preparation and timely submission of full set monthly management accounts included profit and loss, balance sheet, balance sheet schedule, AR/AP Aging, cash flow statement, management financial information etc.
To support Assistant Manager, Finance on the Company’s annual budgets preparation and taxes planning and estimation.
To administrate and ensure proper setting in the accounting system.
To ensure compliance with the Group’s policies and accounting standards, statutory requirements and financial reporting standards.
To ensure timely completion of statutory audits and reporting.
Manage and review the Company tax compliance process i.e. tax estimation, tax computation, coordinate and respond to income tax inquiries.
To be responsible for the preparation of the quarterly reporting for presentation at the quarterly Management Meeting.
To be responsible for credit management of the customers and monitor cash flow receivables.
Participate in the development of the Company’s financial policies.
Liaise with external parties i.e. auditors, tax agents, bankers, solicitors and etc.
Accountable for the quality, safety, health and environmental management and performance at the workplace.
Undertake special assignment, ad hoc functions and related duties as assigned.
Job Requirements:
At least Diploma in Accountancy/Finance or equivalent.
At least 2 years working experience in the construction industry.
Able to operate MS Official application and accounting software such as SQL or IFCA.
Fluent spoken and written in English.
High level of integrity drives and result oriented.
Able to work independently under minimum supervision.
Team player with strong communication and supervisory skills.