The ideal candidate will be involved with preparing financial reports and statements, bank reconciliations, and conducting cyclical audits. This role oversees the full spectrum of financial closing and reporting requirements.
Create ad-hoc reports for various business needs
Prepare and review tax documents, full sets of accounts, bank reconciliation, month end closing and other statutory reporting
Prepare/review filing of VAT, WHT and Corporate Income Tax return
Prepare PL forecast, cashflow projection, and yearly budget (one entity only)
Compile and analyze financial statements
Manage budgeting and forecasting
Strong interpersonal skills and possess a strong business acumen.
Bachelor's degree in Accounting, ACCA or other equivalent professional qualification
Past accounting and audit experience in consultancy firm preferred
Good knowledge on IFRS, Gaap and consolidation, tax regulation, laws and any other compliance requirements
Experience with ERP system and Consolidation/Reporting tools. Xero and Lucanet will be of advantage
Ability to interpret and analyze financial statements and periodicals
Fluency in Microsoft Office suite (Outlook, Excel, Word, PowerPoint, etc.)