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Job Description Manage month end closing and reporting process for the management. Work closely with all subsidiaries to ensure timely and equality reporting of monthly financials. Consolidate and prepare monthly management accounts, financial statements, and any other financial reports, ensuring timely submission and compliance with relevant governing rules, standards, and requirement. Maintain a full spectrum accounts for the companies assigned, undertaking daily operations such as transaction recording, payment, collection, fixed asset registration, reconciliation etc. Monitor and manage working capital, bank balance and cash flow report of the companies assigned. Provide support on the maintenance and preparation of company/ sub-group accounts of the subsidiaries. Handle all inter-company related matters, including reconciliation, statement, and issue resolution. Assist in accounting and financial reporting matters and technical advisory. Liaise with tax agents and assists in all tax matters. Liaise with auditors and assist in managing the audit process for the Group. Participate in implementing and maintenance of financial systems. Assist in establishing and updating policies, procedures and operating manuals, ensuring continuous improvement in work efficiency and processes. To undertake other jobs assigned by superiors as required from time to time. Job Requirements: - Possess at least Professional Degree/ Bachelor’s Degree in Finance/Accounting, professional accountancy qualification – ACCA/MICPA/CIMA or equivalent; Minimum 5-7 years working experience in accounting preferable in construction & property development industry.
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