Duties
- Handle the full set of accounts and ensure monthly closing is within the deadline
- Reconciling accounts payables and receivables, preparing relevant accounting schedules, and ensuring that accounts are accurate and up to date.
- Perform year-end closing, prepare management/financial report, audit/balance sheet schedule, inter-company billing & reconciliation, check audited/unaudited financial report & tax computation
- Submission of GST return
- Coordinate and liaise with external auditors, tax agents, and corporate secretarial agents in preparation of audit & tax schedules and attend to queries/requirements
- Liaise with bankers for financing activities
- Responsible for various reporting of government statistics submission
- Coordinate for the interim/final stock take and report any discrepancies
- Preparation of accounting reports for management review
- Other ad-hoc duties as assigned from time to time
Requirement
- Bilingual (English & Chinese)
- Able to accept 5.5 days work per week (Saturday half day)
- Diploma/Advanced/Higher/Graduate Diploma, Bachelor's Degree, Post Graduate Diploma, Professional Degree in Accounting/Finance or equivalent.
- Meticulous and organized individual with strong initiatives to ensure accurate and timely completion of tasks.
- Positive work attitudes and willingness to learn new skills.
- Proficient with MS Office, especially Excel, and comfortable in learning accounting/tax systems.
- Ability to work in a team and manage multiple tasks simultaneously.