Job Description
Core Responsibilities
Manage, post and process journal entries, cash disbursements and invoices to ensure all business transactions are recorded
Coordinate with project managers and account management group for reporting of revenues, collections, and payments
Prepare monthly management and financial reports
Responsible for reporting and posting of government remittances and report
In charge of bank reconciliation and cash flow
Responsible in reimbursements, payables, and requisitions
Assist in the processing of balance sheets, income statements, and other financial statements according to legal and company accounting and financial guidelines
Update account receivable and issue invoices
Update financial databases to ensure that information will be accurate and immediately available when needed
Prepare and submit weekly/monthly reports
Desired Skills And Experience
Bachelors degree in Accounting or any related degree
With at least 3 years of experience - preferably in technology start-up companies
A certified Public Accountant is a big advantage
Must Have Knowledge In The Following
General Accounting, Taxation, Bookkeeping, Auditing, Financial Reports
Working knowledge in Quickbook is preferred
Great attention to details, good with numbers and figures and with analytical acumen
Good understanding of accounting and financial reporting principles and practices
Strong communication (verbal /written) and listening skills
Strong problem solving and organizational skills
Intellectual curiosity with willingness and desire to learn
Can work with a team and confident to work independently with minimum supervision