Temporary/Contract Role for a 6 Months and subject for renewal
Key Responsibilities
- Preparing and maintaining financial statements and schedules (balance sheets, income statements, cash flow statements), ensuring accuracy and compliance with accounting standards
 
- Preparing group consolidation accounts, management reports and schedules
 
- Handling and oversee accounts receivables and accounts payable functions
 
- Reviewing subsidiaries’ accounts, staff claims and provide guidance to junior staff
 
- Drafting financial statements and take lead statutory audits
 
- Preparing and submitting tax returns, ensuring compliance with tax laws and regulations, and optimizing tax strategies
 
- Assisting in financial analysis, budgets, forecasting financial performance
 
- Reconciling bank statements and other financial accounts, ensuring accuracy and consistency in financial records
 
- Assisting in monitoring project cost and cost control efforts
 
- Assisting in banking and corporate secretarial matters
 
- Any other ad-hoc projects and duties assigned
 
- Accuracy and precision are crucial in accounting, ensuring that financial records are accurate and reliable
 
- Understanding of GAAP (Generally Accepted Accounting Principles) and other relevant accounting standards and ensure compliances of relevant regulations.
 
- Strong analytical and problem-solving skills and ability to communicate effectively at all level
 
Requirements
- Degree in accountancy/ACCA or equivalent
 
- Knowledge of ERP Systems
 
- Pleasant and positive working attitude