Job Description
Key Responsibilities
1. Full Set Accounts
Handle full set of accounts (AP, AR, GL, bank reconciliation)
Ensure monthly closing is completed accurately and on time
Reconcile vendor balances and client receivables
Monitor outstanding receivables and follow up where necessary
2. Financial Reporting
Prepare monthly Management Accounts (P&L, Balance Sheet, Cash Flow)
Ensure accuracy of revenue recognition
Support budget planning and financial forecasting
Prepare reports for management and investors
3. Cash Flow & Controls
Monitor company cash flow and working capital
Implement stronger internal financial controls
Review cost structures and identify cost leakages
Ensure compliance with accounting standards and local regulations
4. Compliance & Audit
Liaise with external auditors and tax agents
Ensure SST, corporate tax, and statutory filings are accurate and timely
Maintain proper documentation and accounting records
5. System & Pro...
1. Full Set Accounts
Handle full set of accounts (AP, AR, GL, bank reconciliation)
Ensure monthly closing is completed accurately and on time
Reconcile vendor balances and client receivables
Monitor outstanding receivables and follow up where necessary
2. Financial Reporting
Prepare monthly Management Accounts (P&L, Balance Sheet, Cash Flow)
Ensure accuracy of revenue recognition
Support budget planning and financial forecasting
Prepare reports for management and investors
3. Cash Flow & Controls
Monitor company cash flow and working capital
Implement stronger internal financial controls
Review cost structures and identify cost leakages
Ensure compliance with accounting standards and local regulations
4. Compliance & Audit
Liaise with external auditors and tax agents
Ensure SST, corporate tax, and statutory filings are accurate and timely
Maintain proper documentation and accounting records
5. System & Pro...
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