Job Responsibilities:
- Manage full set of accounts following accounting principles.
- Financial forecasting and risk analysis.
- Cash Flow management and taxation.
- Audit financial transactions and document accounting control procedures.
- Prepare daily bank reconciliation report.
- Maintain proper record and organization of filing system.
- Complete weekly bank recon to ensure no discrepancy in banking.
- Check on petty cash returns from branches and issue reimbursement cheque.
- Check on staff expenses claim and input to staff claim template.
- Keep up with financial policies, regulation, and legislation.
Job Requirements:
- Possess at least a Diploma/Bachelor's Degree in Accounting or professional qualification (ACCA/CIMA/CA/CPA).
- Minimum 2 years and above experience in related field.
- In-depth knowledge of accounting and corporate finance principles and procedures.
- Advance level in MS Excel and good knowledge of accounting software.
- Attention to detail and confidentiality, highly organized and work well under pressure.
- Mandarin speaking will be added advantage
Perks & Benefits:
- Employee equity
- Annual bonus
- Allowance (transportation, etc.)
- Medical insurance
- Open culture
- Personal development opportunities