Job ResponsibilityJob Description:
o Review and post month-end journals, perform general accounting related month-end closing tasks in SAP and prepare monthly reports.
o Manage and co-ordinate month end closing to ensure it is completed per month-end schedule
o Able to troubleshoot and resolve the system errors related to assets accounting, journal processing of system closing tasks.
o Analyze financial information to recommend or develop efficient use of resources and reconciliation.
o Perform intercompany balances and transactions reconciliation.
o Perform and verify monthly bank reconciliation to ensure accuracy of bank balances and transactions.
o Be the contact point for auditors, consultants, and other exterior parties
o Other: Duties where required and part of the scope.
Job Requirement:
o Candidate must possess at least a Diploma, Bachelor's Degree in Accounting/Finance or equivalent.
o At least 2 Year(s) of working experience in account/finance.
o Good communication & interpersonal skills.
o Detailed and analytical oriented.
o Positive attitude towards continuous improvement and change.
o Good organizers, ability to prioritize workload and work within tight deadlines.
o Able and willing to take responsibility for assigned tasks.
o Able to work independently & proactive.
o Excellent verbal and written communication skills.
Job RequirementsJob Benifits