Responsibilities :
Able to handle full set of accounts,inter-company billing and prepare monthly/quarterly reports.
Month end management including profit & loss, balance sheet and cash flow forecasting
Perform monthly bank reconciliation statements
Prepare journal entries and audit schedules
Manage fixed assets register and perform fixed asset sighting.
Process staff claims and prepare transfer payment to local and oversea supplies
Manage monthly SST report and timely submission
Manage month-end and year-end closing, financial analysis, tax compliance and annual statutory
Responsible for day to day accounting operations and filling system to ensure documents are traceable in an efficient manner.
Other ad-hoc tasks as assigned
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