Responsibilities:· In charge of finance department for full set of accounts including Accounts receivables, Accounts Payables, GL functions and bank reconciliation,
· Lead and execute annual financial Audit, corporate tax and review any erroneous transaction etc
· Ensure issue invoices and tracking of receivable and payable
· Verify and reimbursement of account payable / claims etc
· Provide timely financial reports of company current and projected cash flow with P&L
· Provide periodic cashflow projection reports and details
· Liaise with various departments, internal and external vendors, and banking facilities
· Ensure expenses and receivable are compliance with standard operating procedures
· Perform administrative duties as assign and comply to ISO / OSHA standards
· All necessary documentation
· Lead, manage and motivate allocated team member(s)
· Develop clear goals that is in line with Managements direction
· Be an excellent team player/mentor to collaborate with the internal and external teams/business partners
· Degree or Diploma holder in financial institute with at least 5 years of relevant working experiences
· Proficiency in Microsoft Word and Excel
· Proficiency in using SAP/ERP will be an advantage
· Preferred skill sets: Self Driven, resourceful, problem-solving nature, and good conversational / writing skills in English.
Job Type: Full-time
Pay: $4,
- 00 - $6,000.00 per month
Benefits: - Employee assistance programme
Professional development
Schedule:Supplemental pay types: Yearly bonus
Work Location: In person