Develop and implement sales strategies to achieve individual and company sales targets
Identify and develop new customers and business opportunities within the building, construction, architectural, façade, glazing, aluminium, and related industries
Maintain and strengthen relationships with existing customers
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Full-Set Management: Independently manage the full set of accounts, including Accounts Payable (AP), Accounts Receivable (AR), and General Ledger (GL).
Financial Reporting: Prepare accurate monthly financial reports, management accounts, and support month-end/year-end closing processes.
Daily Operations: Oversee daily accounting functions, accurate data entry, bank reconciliations, and cash flow monitoring.
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Handle full sets of accounts and responsible for smooth month-end closing, monthly reports and other financial matters.
Responsible for the overall preparation of management and financial reports in compliance with management requirements including P&L and Balance Sheets schedule.
Assist in daily AP and ensure all invoices, claims and payments are processed on time.
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Handle and maintain full set of accounts, including General Ledger (GL), Accounts Payable (AP), Accounts Receivable (AR), bank reconciliation, and fixed assets.
Perform monthly, quarterly, and year-end closing accurately and within the required timeline.
Prepare monthly management accounts, Profit & Loss, Balance Sheet, and other financial reports.
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Responsibilities:Manage day to day accounting tasks including data entry into the system, processing rent, utility bills and other expenses.AP / AR / Petty cash / Key-in Data / Proper filling / Cash Flows.To ensure timely and accurately update in the accounting system and maintain proper filling.Assist in audits by providing accurate and timely documentation.Any other duties which will be assigned to from time to time.
Requirement :Candidate must possess at least a Degree in AccountingFresh graduates are encourage to apply
As Finance Executive, you will be responsible for supporting the day-to-day finance and accounting operations including accounts receivable, accounts payable, bank reconciliation, payment processing, documentation, and month-end closing support.