Job Descriptions:
Able to handle full set accounts including GL, AR, AP and Bank reconciliation independently
Responsible for daily accounting event PNL monitoring, Petty Cash, Cash Flow, monthly staff claim payments & weekly payments
Preparing monthly, weekly and daily reports for Management review purposes
Ensuring event expenses in PNL are within approved budget
Work closely and communicate with other colleagues from other departments to resolve any discrepancies in relationship to book entry, invoicing, progress payment
Dealing with bank officers on any matters relating to bank transactions
Issue payment voucher, Invoices, DO, Quotation
Liaising with auditors, tax agents and Company Secretaries
Making sure all Audits and Taxation is done timely and accordingly
Maintains an accurate filing and record keeping system for all financial statements and company documents
Other accounting ad hoc tasks are assigned from time to time
Job Requirements:
Minimum of 5 years of working experience in handling a full set of accounting
In-depth understanding of accounting principles, best practices, standards, and regulations
Proficiency with Microsoft Excel
Self-motivation, flexibility, and professionalism to work with team members from multiple departments
Minimum Diploma/Degree in Finance, Accountancy, or equivalent
Strong time management skills with the ability to prioritize tasks effectively (multi-tasking)
Analytical skills with meticulous attention to detail
Can Read & Write Chinese be an advantage