Strong understanding of financial concepts, statements, budgeting, risk management, and compliance.
Minimum 3 years of relevant work experience.
Analytical and problem-solving skills, with proficiency in financial software and tools.
Professional certifications are a plus.
Responsibilities
Ensure timely month-end and year-end account closing, including preparation of full set accounts (general accounting, AR, AP), and finalization.
Prepare and submit accurate monthly financial statements (balance sheet, P&L, Cash Flow) to the Head.
Liaise with bankers, auditors, and regulatory bodies on accounting activities.
Verify treasury balance, reconcile bank statements, and manage daily bank balance checks.
Process petty cash claims and staff disbursements.
Ensure efficient operations of the Accounts and Finance Department and maintain organized, easily retrievable accounting records.
Prepare Audit schedules and perform ad hoc duties as required.
Benefits
Competitive salary and benefits.
Opportunity for growth and advancement.
A supportive and dynamic work environment.
Additional Benefits
Allowance Provided
SkillsFinancial Analysis Risk Management Forecasting Financial Reporting BudgetingImportant InformationNever provide your bank or credit card details when applying for jobs. Do not transfer any money or complete unrelated online surveys. If you see something suspicious, Report This Job ad.
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