Job Description
<Job Responsibilities> - Oversee daily accounting operations, including accounts payable, accounts receivable, general ledger, and fixed assets management. - Prepare accurate and timely financial statements and reports for monthly, quarterly, and year-end closings. - Ensure compliance with all relevant tax regulations, audit requirements, and financial reporting standards. - Lead budgeting and forecasting processes, and manage financial performance reporting to the parent company. - Provide strategic financial insights and analysis to support management decision-making. - Monitor cash flow and coordinate cash management activities to maintain optimal liquidity. - Implement and maintain effective internal controls, ensuring the integrity of treasury operations, creditor payments, debtor collections, and financial systems.
Job Requirement
<Necessary Requirement> - Bachelor's Degree or higher in accounting. - At least 10 years of experience in an accounting position in a trading company or an accounting firm - Experience at the Manager Level - Hands-on experience with account closing - Skilled in using Microsoft Office programs and - Conversational Middle level of English (Report, Document and Meeting) - Holding a CPD licence <Preferable Skill / Experience> - Be able to start immediately - Experience with ERP system. - Have experience in a mid-sized company of around 30 - 50 people