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Job Description
- Reconstruct financial department through leading, organizing and establishing current team.
- Monitor and coordinate account receivable department, accounts payable department, cash department, inventory system and treasury.
- Establish accounting tree on the ERP system to ensure work precision.
- Ensure document circulation between departments for accuracy.
- Prepare financial reports for shareholders.
- Coordinate with external Auditor for end of year reports.
- Tax deceleration & preparation of tax examination data, tax audits and tax returns.
- Prepare annual budgeting with coordination with executives.
- Minimize costs and ensure profitability.
Job Requirements
- More than 10 years of experience.
- Bachelor Degree in accounting.
- High communication and analytical skills.
- Proficiency in the use of computer and accounting software.
- English language proficiency.