Job Highlight
• Hybrid working
• 2 years of experience with excellent accounting regulation
• Advanced MS Excel skills
Responsibilities
• Manage all accounting transactions.
• Prepare budget forecasts.
• Handle monthly, quarterly, and annual closings.
• Reconcile accounts payable and receivable.
• Ensure timely bank payments.
• Compute taxes, prepare tax returns and verify and submission of taxes such as PND1, PND3, PND 53 etc.
• Manage balance sheets and profit/loss statements and report on the company’s • financial health and liquidity.
• Audit financial transactions and documents.
• Co-ordinate with the accounting office and verify payroll information before proposing to the management for approval.
• Reinforce financial and accounting data confidentiality including conducting database backups when necessary.
• Comply with financial and accounting policies and regulations.
• Coordinate with external/ internal parties as needed.
Requirements
• Bachelor’s Degree or higher in accounting.
• At least 2 years of accounting experience.
• Excellent knowledge of accounting regulations and procedures, including the Generally Accepted Accounting Principles.
• Hands-on experience with accounting software like FlowAccount.
• Advanced MS Excel skills such as Vlookups, pivot tables.
• Experience with general ledger functions.
• Strong attention to detail and good analytical skills.
• Proficient in English