Manage the full set of accounts independently, including general ledger, accounts payable/receivable, and fixed assets.
Maintaining proper set of accounting records, timely preparation of monthly management report
Prepare bank reconciliation, journal voucher and related matters
Ensure compliance with financial regulations and internal policies
Liaise with tax agents, auditors, and other relevant parties for audit, tax filing, and statutory compliance
Perform and verify intercompany transactions and ensure timely reconciliations
Any other duties assigned
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