Job Code : 1570
We are on the look out for an Accountant.
Requirements & Responsibilities:
- Preparing and managing entire cash flow.
- General ledger process and management.
- Preparation and presentation of monthly management accounts, monthly cash flows, weekly cash flow review, project costing and project budgets, variance analysis and reporting.
- Preparation and presentation of strategic cash flows and budget (Annual basis)
- Monthly reconciliation of bank statements and ensure overall company cashflow matches with the bank statement.
- Preparation and payments of salaries and wages and overlook other staff related activities.
- Managing daily, weekly and monthly bank operation.
- Preparation and presentation of quarterly draft accounts and annual draft accounts.
- Preparation of Tax returns, PAYE, VAT, Esc, IT etc.
- Preparation and payment of EPF, ETF, 6 months returns.
- Processing of payment vouchers, sales invoices, quotations, purchase orders, cheques, writing and printing and approval process.
- Petty cash reimbursement / Banking.
- Credit card reconciliation and management.
- Accurate management of accounting systems.
Interested candidates can apply by sending their CVs to: email@example.com or apply through our online portal here.