- Prepare financial statements and participate in the preparation of the annual budget and forecasts.
- Analyze and organize the accounting system
- Review and process routine accounting data for revenue and expenditures,
- Manage and maintain the general ledger structure and accounts
- Analyze, reconcile, balance and maintain accounting records
- Reviews purchasing, travel and personnel transactions for accuracy, coding and distribution;
- Develop weekly, monthly and quarterly forecasting process
- Ensure that government reporting requirements are met, and remittances are made on a timely basis
- Maintain petty cash
- Familiar with communication with Bank/Lawyer/Strata Company/CPA
- Be able to make financial related policies
- Budget Control/ Plan Budget
- Have experience in using Salesforce/Quickbook Preferable
- Be able to manage internal financial transaction of multiple branches
Skills and Qualifications:
Accounting, Corporate Finance, Reporting Skills, Attention to Detail, Deadline-Oriented, Confidentiality, Time Management, Data Entry Management, General Math Skills