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About the Role
Roles & Responsibilites
- Responsible for full set accounts, reconcilication reports
- Ensure prompt year end andmonth-end closings
- Prepare monthly financial reporting, management reporting
- Prepare and update tax and audit schedules
- Able to generate monthly P & Lreport for management review
- Maintining bank account balance
- Able to handle taxation submission,GST
- Oversee overall cashflow management, rolling cashflow projections
- Monitor and update outstanding payment, collections and recoveries
- Support treasury management and weekly cashflow reporting
- Tertiary education in Accounting
- Meticulous and attention to details
- Good analytical and coordinating abilities
- Prior experience in construction industry is strongly preffered
- Able to work independently, dynamic with initiative within timeline
- A good...
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