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1. Prepare monthly full set of accounts, financial and management reports. 2. Responsible for the daily accounting functions and month end closing. 3. Ensure accuracy of the trial balance and general ledger, including keeping accurate records of fixed assets, accounts payable, inventory and bank accounts. 4. Ensure smooth and efficient running of accounting procedure and system. 5. Ensure adherence to group policies. 6. Assist in implementation of process, procedures and internal control measures to ensure proper internal control system. 7. Monitor all matters in relation to intercompany transaction. 8. Liaison with all level management as to ensure timely reports to the management. 9. To liaise with external auditors, tax agents, bank and other statutory bodies to ensure timely submission of statutory accounts to Government bodies and bankers. 10. Undertake any ad-hoc assignments by the management as and when required.
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