Job Description
Responsibilities:
- Timely preparation and completeness of subsidiary ledgers;
- Prepare and submit monthly result of account reconciliation (i.e. SL vs. GL);
- Ensure complete and accurate recording of treasury-related transactions such as loans, interests, and money market placements;
- Ensure completeness and accuracy of entries related to receipts and payments
- Prepare and record monthly accounting adjustments (i.e., journal vouchers)
- Review results of monthly bank reconciliation
- Prepare monthly /quarterly /annual financial report package of the Parent Company
- Budget & Cost Management:
- Validate purchase requests against budget and initiates approval in Oracle system
- Coordinate unbudgeted requests
- Evaluate budgetary requirements of each department
- Assist in the preparation of Company's annual and mid-year budget reports
- Regulatory Compliance:<...
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