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• Provide support on financial procedures, budgets and planning activities through preparation, analysis and execute as advised by Manager-Finance & Admin
• Conduct periodical Bank reconciliation and ensure that all financial transactions are updated and tallied
• Liaise with various clients and vendors and ensure timely receipt and payment done in line with the agreed credit terms
• Be fully aware of all financial policies, procedures, and government rules & regulations and to make recommendations wherever applicable provide coordination and support on periodical audit and VAT activities as per the direction provided
Full Time