Job Responsibilities:
Financial Records: Maintain and update company financial records, including revenue, expenses, assets and liabilities.
Bills and Invoices: Process and review bills and invoices from customers and suppliers to ensure timely payment and collection.
Report Preparation: Prepare monthly, quarterly and annual financial reports, such as balance sheets, income statements and cash flow statements.
Budget Management: Assist in developing and monitoring company budgets, analyze financial variances and make recommendations for improvement.
Tax Returns: Prepare and submit various tax returns to ensure compliance with local tax laws and regulations.
Audit Support: Assist internal and external audits and provide required financial data and information.
Financial Analysis: Perform financial data analysis and provide financial reports and recommendations to support decision-making.
Compliance Management: Ensure that the company's financial operations comply with relevant laws, regulations and internal policies.
Skills
Work experience: relevant financial or accounting work experience, the specific years depend on the position level (junior, intermediate, senior).
Professional knowledge: familiar with accounting standards, tax laws and related regulations.
Skill requirements:
Proficiency in financial software and office software (such as Excel).
Good analytical skills and detail orientation.
Excellent communication and teamwork skills.
Qualifications (plus points): such as CPA (Certified Public Accountant), ACCA (Chartered Certified Accountant), CMA (Certified Management Accountant), etc.