MAIN RESPONSIBILITIES:
- Book double entries into SAP accounting book (both IFRS and VAS)
- Prepare month-end financial statements (Balance sheet, P&L, Cash flow) and other supporting reports (such as bank reconciliation, Cash count etc.)
- Expedite quarterly budget analysis (actual vs budget)
- Prepare monthly tax declarations (VAT, WHT, CIT)
- Periodically check tax outstanding recorded in Tax system and timely perform reconciliation if there is any tax difference
- Provide requested information to external auditor for yearly audit
- Assist Senior Manager, Finance to control budget, monitor cash flow and funding alert
- Other assignments assigned by Senior Manager, Finance
REQUIREMENTS:
- From 2 to 3 years of experience, real estate industry is preferred.
- SAP knowledge, good understanding of VAS, IFRS
- Audit experience, ACCA/CPA is strong plus
- Strong communication skills & presentation skills