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Responsibilities:- - Timely preparation of monthly management accounts, forecasts and budgets - Maintain accurate fixed assets and liabilities records in accordance. - Review and control of balance sheet account - Provide tax information to tax agent for preparation of tax computation - Review and preparation of financial information for quarterly reports - Monitor and balance / cash flow position and fund placement - Co-ordinate yearly audit with external parties for the preparation of audited reports - Communicate and liaise with all related departments in order to ensure timely processing on the management reports Requirements: - Candidate must possess at least Diploma in Financial / Accounting, or equivalent - Minimum 2 years working experience in relevant field - Strong interpersonal and communication skill; able to interact well with all levels of personnel (management and external parties) - Good planning, organising and analytical skill; data collection, compilation and information management with the ability to prioritise task as needed - Competent user of SQL accounting system and Microsoft Office suite i.e. Excel, Word, PowerPoint - Able to start work immediately will be added advantage.
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