Description
Summary:
This role involves comprehensive daily accounting operations, financial reporting, treasury support, and compliance with financial regulations.
Highlights:
1. Handle daily accounting operations and financial reporting
2. Support in group treasury function, tax filing, and audits
3. Opportunity to work on automation and efficiency improvements
Handle daily accounting operations, including bookkeeping, accounts payable & receivable, and bank reconciliations.
Prepare financial reports, including receivables, deposits, and daily cash summaries.
Support in group treasury function.
Assist in tax filing, audits, and compliance with financial regulations.
Support in group reimbursement process.
Requirements
Bachelor's degree in Accounting; professional membership is a plus.
Minimum of 3 years of relevant working experience.
Proficiency in Excel functions for financial analysis and reporting.
Flexible mindset to adapt to company development projects and process improvements.
Experience in automation and efficiency improvements in accounting workflows is a plus.
Detail-oriented, stable, and motivated, with strong analytical and problem-solving skills.