Enable job alerts via email!
Boost your interview chances
Create a job specific, tailored resume for higher success rate.
An established industry player is seeking a skilled finance professional to manage accounts and ensure accurate financial reporting. This role involves overseeing daily finance operations, preparing budget and cash flow projections, and liaising with auditors and tax consultants. The ideal candidate will possess a degree in finance or accountancy and have a strong understanding of general ledger accounting and tax compliance. Join a dynamic team where your expertise will contribute to the company's financial success and operational efficiency.
Manage the full set of accounts and perform month-end closing activities within the given timeline.
Prepare and provide financial information such as monthly reports, budget and cash flow projections, financial reports, and other related matters for management review upon request.
Perform bank reconciliation and reconcile transactions with online payment service providers on a monthly basis.
Monitor daily bank balances, cash flow, and prepare cash flow projections for the company.
Liaise with auditors, tax consultants, bankers, and other relevant authorities.
Maintain an updated fixed assets register and ensure proper tracking of fixed assets.
Oversee daily finance operations, establish a strong control environment, and improve various processes.
Ensure accurate and up-to-date accounting records in the accounting system.
Identify, report, and resolve accounting-related operational issues, discrepancies, and abnormal transactions.
Assist the Chief Financial Officer in corporate reporting and exercises.
Sign in and update your profile to get insights. Your application will include questions about your expected salary, qualifications, experience, language skills, and familiarity with accounting tasks.