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Associate Executive, Finance (General Ledger - 12 Months Contract)

Open 26d

Summary

Maintains and reconciles general ledger accounts, prepares monthly financial reports, and ensures compliance with local tax and accounting regulations for a taxi company group.

Job Responsibilities

  • Prepare accounts and maintain ledgers for SP Group of companies, including data entry, reconciliations, and filing of supporting documents.
  • Prepare accurate and timely monthly financial reports, including balance sheets, schedules, income statements, and cash flow statements.
  • Prepare and record fixed asset activities, including generating fixed assets report, schedules maintenance and related financial activities.
  • Ensure compliance with local financial regulations and direct/indirect tax requirements, including the preparation and submission of reports.
  • Ensure compliance with internal control requirements including financial and operational policies and procedures
  • Actively participate and support in the year-end audits and prepare the financial statements and notes in accordance with accounting standards and Group accounting policies
  • Actively participate and support in the smooth incorporation of new financial accounting process flows for changes such as new businesses, new departments etc.
  • Actively participate and support in the create, test and review functional requirements and refine financial operating systems, where necessary
  • Building and maintaining relationships with internal stakeholders, external partners, and financial institutions to support SP Group's financial objectives.
  • Actively participate and support in the Kaizen initiatives for General ledger team
  • Any other ad hoc duties as assigned

See also

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