● Process all proforma and commercial invoices on time.
● Execute and reconcile cash repatriation with banks and exchange offices on a weekly basis.
● Fund foreign currencies from registration to purchasing.
● Collaborate with other functions for importation requirements.
● Handle local statutory books.
● Assist and cooperate with financial auditors in the interim and YE audit period.
● Prepare documents for CIT, VAT, Seasonal report, and excise audit.
● Prepare documents for SSO audit.
● Prepare documents for financial audit.
● Prepare and correspond with SSO and Tax office according to official received requests.
● Prepare monthly reconciliation.
Requirements
● Bachelor's or Master's degree in Accounting, Economics, or other related fields.
● Professional training (ACA, ACCA, CIMA, and CPA) would be an advantage.
● Minimum 2 years of experience.
● Good analytical skills.
● Good interpersonal skills.
● Good written and verbal communication skills.
● Ability to influence others or good leadership skills.
● Excellent English skills (both verbal and written).