Job Description
The ideal candidate will have substantial exposure to monthly closing processes, forecasting and budgeting, and customer billing. They will be organized and approach each issue with an analytical mindset.
Responsibilities
Ensure business transactions are reported in accordance with generally accepted accounting principles
Work closely with team members to assist with the month-end close
Assist with the annual audit process including the draft of the financial statements and related notes
Research and analyze expense variances for company management
Manage all accounting transactions
Manage bank statements and reconciling them with general ledger entries
Handle monthly, quarterly & annual closing
Publish financial statement in time & submit the daily report
Handle monthly, quarterly & annual closing
Publish financial statement in time Preparing cash flow
Responsible for petty cash
Job Requirements
Bachelor’s degree in Accounting, Finance, or Economics ( English Section is a must )
At least five (1) to (4) years accounting / finance experience
Very good English level is a Must
Ready to take initiatives with teamwork
Advance knowledge of Microsoft Office is a must,
Strong analytical & problem-solving skills
Experience with ERP Systems
Highly detailed oriented