Responsibilities
- Monthly and quarterly corporate financial reporting to regional timely and accurately
- Review Balance Sheet reconciliations and month end closing entries such as Fixed Assets, Accounts receivables, accruals, prepaid expenses, IFRS adjustment etc
- Managed the Accounts Payables to ensure 3-way match complied
- Coordinate and manage internal/external auditors and tax agents, ensuring timely resolution of audit and tax findings.
- Prepare and review all indirect taxes (SST/WHT) to ensure submission timely and accurately
- Work closely and partner with the Finance Share Office teams, intra-group Finance, internal and external stakeholders to address the daily operation issue
- To lead the yearly internal control audits such as One trust, ISO, ISMS and JSOX. Ensure compliance with accounting standards, tax regulations, company policies and SOP.
- Treasury related function such as monitoring cash flow and banking related matters
- Heavily support the to drive automation and efficiency initiatives within the finance function.
- Ensure all accounting records and documents are properly filed and maintained
- Administrative task relating to Finance & Account
- Any other ad-hoc duties or tasks assigned by the superior or management.
Requirements
- Candidate must possess at least a bachelor’s degree in accounting
- Fresh grads up to 5 years of working experience welcome, including managing full sets of accounts.
- Good team player who can work with minimum supervision
- Ability to work under pressure to meet timelines
- Strong interpersonal skills and possess a strong business acumen.
- Possess good knowledge in MS Office
- Familiar with the accounting principles and standards.