Temporary/Contract Role for a 6 Months and subject for renewal
Key Responsibilities
Preparing and maintaining financial statements and schedules (balance sheets, income statements, cash flow statements), ensuring accuracy and compliance with accounting standards
Preparing group consolidation accounts, management reports and schedules
Handling and oversee accounts receivables and accounts payable functions
Reviewing subsidiaries’ accounts, staff claims and provide guidance to junior staff
Drafting financial statements and take lead statutory audits
Preparing and submitting tax returns, ensuring compliance with tax laws and regulations, and optimizing tax strategies
Assisting in financial analysis, budgets, forecasting financial performance
Reconciling bank statements and other financial accounts, ensuring accuracy and consistency in financial records
Assisting in monitoring project cost and cost control efforts
Assisting in banking and corporate secretarial matters
Any other ad-hoc projects and duties assigned
Accuracy and precision are crucial in accounting, ensuring that financial records are accurate and reliable
Understanding of GAAP (Generally Accepted Accounting Principles) and other relevant accounting standards and ensure compliances of relevant regulations.
Strong analytical and problem-solving skills and ability to communicate effectively at all level
Requirements
Degree in accountancy/ACCA or equivalent
Knowledge of ERP Systems
Pleasant and positive working attitude
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