Job Description

• Manage and oversee the preparation and maintenance of local statutory books in compliance with applicable tax regulations.
• Prepare and review documents for Corporate Income Tax (CIT), Value-Added Tax (VAT), seasonal reports, excise duties, and Social Security Organization (SSO) audits.
• Coordinate and liaise with SSO and Tax offices to ensure smooth and timely execution of all business-related tax requirements.
• Analyze and monitor SSO deposit accounts, ensuring accuracy and timely payments.
• Prepare and submit quarterly VAT returns and seasonal reports, ensuring full compliance with regulatory requirements.
• Prepare and submit legal books as required by local regulations, ensuring all information is accurately recorded and reported.
• Collaborate with internal stakeholders to address tax-related inquiries and ensure efficient management of tax-related issues.
• Support and contribute to tax audits, assessments, and appeal processes, ensuring proper documentation and accurate filings.
• Continuously monitor and stay updated on changes to tax laws and regulations to ensure compliance and optimize tax strategies.
• Assess, monitor, plan, and manage the efficient utilization of cash and financial services in line with the objectives of the Company.
• Assist Finance Manager in day-to-day work & financial activities, and contribute to the overall cash management strategy.
• Be the primary contact and maintain good relationships with banks, and evaluate new banking products and services.
• Ensure accurate information maintenance of bank account, balance, bank systems, and bank mandate.
• Receive and disburse cash in accordance with company policies and procedures, including reconciliation between receipts/ payments versus bank statements.
• Recommend, implement, and maintain the treasury system and financing operational processes improvement.
• Support the finance manager in preparing the treasury/ finance report for meetings with the global treasury office/external parties, ensuring all reports are accurate and timely provided.


Requirements:
• bachelor's or master's degree in Accounting, Finance, or a related field.
• At least 7 years of experience in finance or accounting roles.
• Strong command of English, both written and verbal.
• Proficiency in accounting software and Microsoft Excel.
• Updated in tax regulations.

Employment Type

  • Full Time

Seniority

Details

Employment type

  • Full Time

Seniority

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