Job Description
Primary Responsibilities:
- General Ledger Management: Responsible for maintaining the general ledger, preparing and reviewing journal vouchers, and managing a full set of accounts.
- Fixed Assets Register: Maintain and update the fixed assets register.
- Financial Planning and Analysis: Prepare financial budgets, analyze variances, evaluate business performance, and prepare comprehensive management reports.
- Tax and Compliance: Review GST returns and other ad-hoc reports. Assist in corporate income tax compliance.
- Business Surveys: Prepare and review various business surveys.
- Cash Flow Management: Assist in cash flow projection and management.
- Support to Senior Management: Assist the Finance Manager and Financial Controller in ad-hoc financial matters and projects.
Requirements:
- Educational Background: A degree in Accountancy or an equivalent qualification is highly preferable.
- Experience: A minimum of 3 years of relevant working experience in financial reporting and analysis is preferred.
- Analytical Skills: Proficiency in performing gross profit and variance analysis.
- Technical Skills: Extensive knowledge of processing software such as Spreadsheets (Excel), Word, and PowerPoint. Familiarity with ERP systems is required.
- Additional Competencies:Strong attention to detail and accuracy in financial reporting.
Excellent organizational and time management skills.
Strong problem-solving skills and the ability to work independently.
Effective communication skills for collaborating with various departments.
Ability to adapt to changing priorities and manage multiple tasks simultaneously.