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About the Role
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- Responsible in the preparation of management accounts in accordance with approved accounting standards & corporate governance to ensure completeness and accuracy of financial reports
- To perform and assist the end-to-end execution of day-to-day financial operations (AR, AP, GL, Cash & Bank Balances and other financial related transactions)
- Assist in budget/forecast/internal reporting preparations
- Preparation of supporting schedules/Balance Sheet schedules for month end closing and reporting
- Preparation and reconciliation on monthly inter-company transactions and bank reconciliations
- Review and process payment as per company policy
- Analyse financial data to monitor collection status
- To liaise and working closely with external stakeholders (i.e. auditors, tax agents, bankers) as well as internal stakeholders (i.e. sales & marketing, purchasing, warehouse)
- Experience in logistics, shipping, freight forwarding,...
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