Job Description
<Job Responsibilities>
• Responsible for balance sheet management and cash flow projections based on the approved budget.
• Verify payable accounts and supporting documents in alignment with audit and tax requirements.
• Prepare routine payments promptly.
• Prepare journal entries and packages for closing purposes according to VAS and IFRS.
• Prepare VAT, and FCT declarations promptly.
• Liaise with the external auditor to complete audited financial statements and CIT finalization.
• Optimize processes to improve efficiency and ensure internal control quality under the Group standards.
• Perform other accounting duties and support colleagues as required or assigned.
Job Requirement
<Necessary skill/ Experience >
- Education Background: Bachelor's Degree, majors in Accounting/ Finance/ Auditing
- Language: English - Business Level
- Experience:
• Having from 05 to 08 years experience in overall finance, accounting, tax, and cash management.
• Experience in business partnering roles in corporates
• Strong communication and work with many stack holders: factory, auditing agency, bank, etc
- Others:
• Adaptable to change, and flexibility with Retail operation support while maintaining accuracy, compliance, and risk management.
• Proficient in Microsoft Office especially in Excel, SAP, and another ERP system.
<Preferable Skills>
- Prefer candidates with accounting/ finance experience in the retail industry