Responsibilities:
- Prepare budget and annual operation planning
- Analyze financial reports by records and make adjustments as necessary;
- Make recommendations based on analysis
- Ensure financial records are maintained in compliance with accepted policies and procedures
- Ensure accurate and timely month end closing process.
- Perform variance analyses and preparing account reconciliations
- Assist with financial and tax audits, and assist store partners on store compliance audit
- Documenting and monitor internal controls in support of auditing team
- Coordinate more complex accounting projects and initiatives with other members of the accounting and finance team or with other departments
- Oversee daily transactions, including accounts payable/receivable and general ledger
- Assist accountant and partners on day-to-day financial matters, reports and questions
- Ensure the efficient management of company’s bank accounts
- Prepare monthly bank reconciliation and other payment
- Manage petty cash
- Maintain, record and analyze the sale and inventory section
- Prepare monthly and yearly tax return, and issue tax invoice
- Other tasks assigned by Manager
Requirement:
- BBA in accounting, finance or relevant field
- Great attention to Details
- Good with numbers and figures and an analytical acumen
- Good understanding of accounting and financial reporting principle and practices
- Well practical communication in English.
- Excellent knowledge of MS Office and familiarity with relevant computer software (e.g Microsoft AX, accounting system)
Working Hour: 8:00am-5:00pm
Working Date: Mon-Fri
Salary Range: Negotiable (put expected salary on CV)
Allowance:
Public Holiday: law
Annual Leave: 18day
Bonus: have target bonus 20% Auto
Have insurance BSS