-Monitoring and controlling cost and financial accounting processes and procedures -Inspect and verify accounting documents -Preparation and compilation of tax returns, including the seasonal reports of transactions -Reporting of activities subject to VAT -Preparation of financial statements -Cash flow management including bank reconciliations -Preparing payroll, salary tax, and SSO in accordance with governmental rules and regulations -Reporting to the Financial Manager
Requirements
-Bachelor or Master's degree in Accounting
-At least 10 years of related experience
-Proficiency in Microsoft Excel
-Expert knowledge of accounting rules & standards
-Familiar with banking procedures especially in overseas bank transfer and bank credits
-Experienced in Bank guarantees and related tasks
-Candidates with good command of English are preferable
-Having a strong teamwork mentality
-Good communication skills and ability to work in a multi-culture environment
-Ability to coordinate multiple tasks
-Ability to work under pressure and tight deadlines
-Self-motivated and disciplined
-Ideal Age Range: 30 - 45