Job Responsibility- Handling full set of account, including Account Payable (AP), Account Receivable (AR)
- Prepare periodic financial statements, general ledger and accounts including P&L, balance sheet and other financial reports
- Perform monthly bank reconciliation function
- Perform journal entries, verifying all accounting entries
- Monitor cash balances by daily and prepare cash flow reports, analyze and highlight areas of concerns and recommend improvements
- Ensuring financial reporting and management reporting are done on a timely monthly basis
- Liaise with auditors & related authorities on audit matters annually to ensure adherence to the financial audit statutory reports
Job RequirementsJob Benifits