Responsibilities
- Financial Accounting and Treasury
• Support Finance Manager to execute Financial Accounting
• Execute AP/ AR/ Cost accounting/ Fixed Asset in ERP and generate report for analysis
• Assisting with the preparation of year-end accounts and statutory accounts
• Tax reporting and inventory processing
• Prepare and distribute accurate WHT Reconciliation and ensure all local tax guidelines
are followed and all appropriate tax payments are made.
• Support Finance Manager to execute financial books and records being kept and comply
with all local regulations
• Support internal control and accounting process simplification and improvement
• Execute Customer Invoice and payment with accuracy and data harmonization into ERP
• Act as ERP coordinator for local finance operation
• Preparing payment list, and controlling expenditure and cash flow
- Finance Analysis and Reporting
• Support to develop and work with Key Stakeholders in financials and Costs/Variance
analysis
• Prepare P&L and Multi-Dimension Reporting (By Brands, Category, )
- Others
• General admin for office management
• IT coordination
• Projects to be assigned by Finance Director or Finance Manager