Prepare various financial reports such as balance sheets, income statements, cash flow statements, and other related reports, ensuring accurate account closing within the specified deadlines.
Efficiently plan taxes.
Manage and control financial and accounting processes to align with company policies.
Coordinate with internal and external departments to ensure smooth and efficient workflow.
Plan, control, and verify the accuracy of accounting and tax preparation, ensuring submission on time.
Oversee, manage, and lead the team to achieve goals or plans effectively and on schedule.
Qualifications:
At least 5 years of experience in accounting and financial management.
Knowledgeable in accounting principles, tax regulations, and internal control.
Strong communication and coordination skills.
Positive work attitude, proactive, good interpersonal skills, honest, and reliable.
Experience working in a publicly listed company will be considered an advantage.