Position Overview
This role works closely with the Finance Manager and acts as a key support in managing day-to-day finance operations, reporting, and consolidation.
Responsibilities - Maintain full sets of accounts, including general ledger, bank reconciliations, fixed assets register, and preparation of financial reports for statutory submission
- Prepare and manage monthly group consolidation, including intercompany reconciliations and consolidation journals.
- Work collaboratively with the junior accountant to complete monthly reporting and consolidation deliverables.
- Review overseas monthly financial report and liaising with overseas counterparts including China
- Support with annual budget, forecast and related consolidation schedules.
- Prepare and manage monthly group consolidation, including intercompany reconciliations and consolidation journals.
- Ensure that all bank and its related matters are diligentl...