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4 days ago

Job Description

  • Coordinate the monthly closing process and reconcile general ledger accounts.
  • Conduct monthly and year-end closing processes to ensure the completeness and accuracy of transactions.
  • Process and manage all tasks of payroll including calculating, recording, payments, and investigating and resolving all issues related to payroll, Tax, and SSO.
  • Conduct daily financial and accounting operations.
  • Collaborate effectively with the team, demonstrating strong communication skills.
  • Assisting with annual audit preparations.
  • Preparing and submitting all tax returns.
  • Prepare bank and intercompany reconciliation.
  • Prepare daily cash report.
  • Handle and process bank transactions.
  • Control and book all accounting documents, invoices, bank statements, and petty cash.
  • Provide financial reports to the finance manager.


  • At least a Bachelor’s degree in Accounting.
  • 5 years of proven experience in accounting.
  • Good knowledge of "Tax Laws and SSO".
  • Good knowledge of "Value Added Tax", "Seasonal Affairs" and, tax returns.
  • Proficient in working with financial software.
  • Professional in Excel.

Employment Type

  • Full Time