Overseeing company accounts, all financial activities and operations to improve financial performance
Preparing Management Accounts and Reporting Pack for the entities.
Preparing monthly financial statements and make recommendations to improve company financial performance.
Review and approve journals.
Review payment
Perform variance analysis and propose corrective actions.
Perform proper credit control and monitor collection
Monitor cashflow and preparing cashflow forecast
Ensure proper internal controls are in place and perform periodic review on the controls, working closely with other functional departments in the process of improving controls.
Responsible to ensure the year end audit and tax computation completed within the stipulated time.
Liaise with internal & external auditors, tax agents and bankers.
Maintains office services by organizing office operations and processes
Procure and maintain office supplies and inventory
Job Requirements
Diploma in Accounting & Finance or a related field
A minimum of 2-3 years of relevant experience in finance & audit
Proficiency in Microsoft Office applications
Experience in using accounting software such as Xero will be an advantage