In charge of full set of accounts, month-end closing, annual budget, planning, forecasting and monthly operational review report
Handle full set accounting (Included GL, AR, AP), prepare monthly revenue analysis report and consolidation report
Prepare daily and monthly FRR, monitor daily cash flow, and prepare weekly cash flow report, ensure financial compliance with SFC rules on a daily basis
Preparation and review of Sales commission scheme in consultation team
Collaborate with Group financial teams on recommended improvements
Liaise with external auditor and tax advisor for annual audit and tax issues
Liaise with bank in relation to bank issues (Included bank ac opening, annual review and banking transactions)
Perform ad-hoc reports/projects as assigned by senior management.
 Requirements
Bachelor degree in Accounting, Finance or a related discipline
Holder of a CPA or an equivalent qualification
Minimum 5 yearsâ?? relevant experience with exposure in CPA firms and/or listed companies
Experience in FRR preparation
Knowledge in accounting systems, such as Peachtree, MYOB, etc. will be a definite advantage
Less experience will be considered as Deputy Manager
Immediate availability is highly preferred
We offer competitive remuneration package and fringe benefits to the right candidate. Interested parties please contact 3521 4500 for further inquiries.Â
The information provided will be treated in strict confidence. All personal data of unsuccessful applicants will be destroyed after the recruitment process.