Assist in full set accounts monthend & yearend closing activities balance sheet reconciliation & schedule bank reconciliation fixed assets register & depreciation schedule and intercompany transactions.
Assist in preparing financial report and monthly management accounts perform monthly variance & trend analysis cash flow report and all necessary reports as required by superior to review within the timeline.
Liaise closely with auditors tax agents bankers and other external parties on accounting tax & financial related matters.
Undertake other adhoc duties as required.
Requirements
Candidate must possess at least LCCI diploma partial professional qualification or a degree qualification in Finance/Accounting/Audit or equivalent field.
Minimum 12 years of related working experience. Fresh graduate is also encouraged to apply.
Proficiency in computer and skillful in Microsoft Office and Accounting system. Knowledge of Autocount and SAP is an advantage.
Detail oriented good in time management selfmotivated and quick to learn new concepts and ability to work independently and as part of a team.
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