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Handle full set account in accordance with the relevant standards and statutory requirements.
Ensure completion of General ledger, Balance Sheet and proper reconciliations.
Monitor monthly shipment contract and Banker Acceptance.
Manage day to day finance operations.
Perform analysis on the financial statements and review on the monthly management reports.
Accurate and timely submission of management report and relevant reports required.
Monthly stock take.
Liaise with external auditor and tax agent.
Willing to travel to West Port once a week.