Finance & Accounts - Manager/Assistant Manager
Salary undisclosed
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Job Purpose
You will support the Finance & Accounts team in the preparation of month-end closing and perform other daily accounting functions.
Responsibilities
- Manage a wide range of treasury functions, including cashflow management, fund allocation, day-to-day treasury operations, and the administration of bank facilities
- Oversee and manage group consolidation processes to ensure accurate and timely reporting
- Perform month-end closing activities, manage the full set of accounts, and prepare statutory financial statements with accuracy and timeliness
- Maintain systematic and organized documentation and filing of records to support all accounting entries, ensuring ease of reference and compliance.
- Ensure the accuracy and timeliness of financial data entries into the accounting system adhering to internal controls, company procedures, and regulatory requirements
- Perform fiscal year-end closing activities and liaise with the auditors, tax agents and regulatory bodies.
- Ensure compliance with all tax laws and regulations requirements in a timely manner.
- Assume and carry out ad-hoc accounting projects or assignments
Requirements
- A Bachelor Degree in Finance, Accountancy or a professional qualification in Accounting
- Minimum of 4 - 6 years’ experience of in finance and accounting, preferably within the property industry
- Proficient in handling a full set of accounts; experience in consolidation is an added advantage
- Strong analytical skills with an organized and detail-oriented approach.
- Capable of working independently and meeting deadlines effectively
- Good communication skills in English and complemented by strong interpersonal abilities
- Proficient in the use of Skilled in MS Office applications with a focus on proficiency and efficiency
- Resourceful, fast quick learner with a positive working attitude towards challenges
- Collaborative team player who thrives in a dynamic work environment
Job Purpose
You will support the Finance & Accounts team in the preparation of month-end closing and perform other daily accounting functions.
Responsibilities
- Manage a wide range of treasury functions, including cashflow management, fund allocation, day-to-day treasury operations, and the administration of bank facilities
- Oversee and manage group consolidation processes to ensure accurate and timely reporting
- Perform month-end closing activities, manage the full set of accounts, and prepare statutory financial statements with accuracy and timeliness
- Maintain systematic and organized documentation and filing of records to support all accounting entries, ensuring ease of reference and compliance.
- Ensure the accuracy and timeliness of financial data entries into the accounting system adhering to internal controls, company procedures, and regulatory requirements
- Perform fiscal year-end closing activities and liaise with the auditors, tax agents and regulatory bodies.
- Ensure compliance with all tax laws and regulations requirements in a timely manner.
- Assume and carry out ad-hoc accounting projects or assignments
Requirements
- A Bachelor Degree in Finance, Accountancy or a professional qualification in Accounting
- Minimum of 4 - 6 years’ experience of in finance and accounting, preferably within the property industry
- Proficient in handling a full set of accounts; experience in consolidation is an added advantage
- Strong analytical skills with an organized and detail-oriented approach.
- Capable of working independently and meeting deadlines effectively
- Good communication skills in English and complemented by strong interpersonal abilities
- Proficient in the use of Skilled in MS Office applications with a focus on proficiency and efficiency
- Resourceful, fast quick learner with a positive working attitude towards challenges
- Collaborative team player who thrives in a dynamic work environment