Responsibilities:
- Managing financial transactions and reconciling accounts
- Preparing financial statements and reports
- Manage full set of accounts following accounting principles.
- Financial forecasting and risk analysis.
- Cash Flow management and taxation.
- Audit financial transactions and document accounting control procedures.
- Keep up with financial policies, regulation and legislation.
- Any other relevant duties as assigned from time to time.
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Requirements:
- Minimum of two years of relevant experience (preferred)
- Knowledge of accounting and corporate finance principles and procedures.
- Advance level in MS Excel and good knowledge of accounting software.
- Ability to work independently and meet deadlines
- Positive attitude and willingness to learn
- Open to all ages
- Able to start work immediately is a plus
- Able to work Monday to Saturday (10am-7pm)
Interested candidates please submit your application through Jobstore.com