Responsible for accurate financial processing, month end close, cash management reports, and balance sheet reconciliation
Development and preparation of budgets, forecasts, and projections
Plan, arrange and handle corporate tax & external audit with external auditor & Tax Agent
Liaise with TP Manager on the TP documentation
Prepare monthly, quarterly, and annual financial statements, bank reports, and various detailed
analysis reports
To review and advise on all intercompany agreements, loans and major external
contracts/agreements
To manage company secretarial on all secretarial matters including Directors' resolutions for
major decisions, allotment of shares, change of directors, change of bank signatories and AGM etc.
JOB REQUIREMENTS:
Minimum with Degree in Accounting, preferably with relevant experience in retail industry.
Strong leadership, management, and organizational skills
Meticulous with strong analytical and reasoning abilities.
Possess well-developed interpersonal and communication, verbal, and written skills
Must be result and profit oriented with the ability to balance other business considerations and
perform multifaceted projects
Apply online or feel free to contact me directly for more information about this opportunity. Due to the high volume of applicants, we regret to inform that only shortlisted candidates will be notified. Thank you for your understanding.
#LI-JACMY #statekl
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