Opportunity Description
Key Responsibilities:
- Handle full set of accounts including AP, AR, GL, and bank reconciliations.
- Prepare monthly, quarterly, and annual financial statements and management reports.
- Assist in budget planning, forecasting, and variance analysis.
- Ensure timely and accurate closing of monthly accounts.
- Liaise with auditors, tax agents, bankers, and statutory bodies.
- Manage cash flow and monitor company expenditure.
- Assist in the preparation of tax computation, SST submission, and statutory filings.
- Maintain proper documentation and filing systems.
- Review and monitor staff claims and petty cash disbursements.
- Support project costing and ensure alignment with client budgets and internal targets.
- Ensure compliance with company policies, accounting standards, and relevant laws.
- Utilize the SQL Accounting System efficiently for financial data entry and reporting. ...
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