Job Summary

Role and Responsibilities:

  • Preparing Financials & monthly PNL reporting to Management.
  • Responsible for managing bank position.
  • Maintain records of Accounts Receivables and Accounts Payables.
  • Maintain Reconciliations of Intercompany Netting Control Accounts & GL Accounts.
  • Responsible for making Import shipments costing, Landed cost sheets.
  • Responsible for making monthly vendor tax, commission and rental tax deduction details.
  • Maintain Debtors & creditors Aging and follow up for payments.
  • Ensure the information accuracy and availability in the ERP.
  • Assist in preparing tax returns and corporate reporting requirements.
  • Billing Invoices to customers, payment recovery follow up for on time closing payments.
  • Supervision on monthly Financials closing.

Required Skills

Skills and Qualification:

  • A Master's degree in finance, accounting, or a related field.
  • 4 years of experience in a senior financial position.
  • A good understanding of financial management obligations, especially statutory obligations and requirements.
  • Be an analytical thinker with strong investigative and problem-solving skills.
  • Outstanding attention to detail with excellent organizational skills.
  • Ability to work under pressure and meet tight deadlines.
  • Excellent report-writing and communication skills.
  • Proficiency in financial planning software such as Microsoft Excel and SAP.
  • The ability to work independently.

Details

  • Published:
    5 Dec 2024
  • Industry:Information Technology
  • Job Function:Accounts, Finance & Financial Services
  • Qualification:Masters
  • Experience:4 Year
  • Type:Full Time
  • Shift:Morning
  • Positions:1