Daily book-keeping and filling
Assistance to monthly year end closing and reporting in tight deadlines
Assistance to finance department
Assistance to preparing tax reports
Prepare the journal for cash in hand and bank deposits
Prepare, verify and payment of tax liabilities
Prepare tax related letters etc.
Prepare company letters with translation
Verifying documents and payments by cheque and cash-core responsibility
Take care of bank related responsibilities
Complete other jobs arranged by manager/coworker
Issue receipts, refunds, credits or change due to customers
Count money in cash drawers to ensure that amounts are correct and that there is adequate change.
Calculate total payments receives during a time period
Requirements
Graduate or graduate student in finance and accounting
1 year experience and fresh graduated are also welcomed to apply
Good command of MS. Office especially in Excel and Word
Having good command in English in both writing and speaking
Strong analytical skills
Energetic and social, self-motivated and ability to work in team
Ability to work under pressure
Ability to do multiple tasks
Attention to detail, confidentiality, coordination and focus quality
Knowledge of tax and SSO
To be loyal, honest, diligent and friendly