Account Executive
Cash Management
• Maintain and updating the cash book.
• Prepare and process monthly payments, including supplier payments, staff
salaries, and ad hoc payments.
• Record all cash and cheque receipts, as well as payments, in the accounting
system accurately and promptly.
Full Set of Accounts
• Maintain full sets of accounts, including accounts receivable, accounts
payable, Journal and general ledger functions.
Month-End Closing and Financial Reporting
• Perform monthly bank reconciliations.
• Prepare and review monthly financial statements, management reports,
profitability reports, and variance analyses.
• Review and reconcile intercompany transactions and balances.
• Prepare report and submit GST return quarterly
Audit and Tax
• Prepare financial and management reports for submission to management for
review.
• Maintain audit schedules and supporting documentation.
• Manage the year-end audit process and liaise with external auditors, tax
agents, and company secretary.
Requirements
• 1.At least 3 year(s) of working experience in the related field.
• 2.Ability to work independently and resourcefully in a fast-paced environment.
• 3.Applicants must be familiar with MYOB or similar accounting software.
• 4.Working hour : 8:00a.m. to 5:00pm; Monday to Friday