RESPONSIBILITIES
1.Tax and financial reports:
- Manage accountant team, take responsibility for tax and finance report
- Final check and ensure all tax reports Monthly/Quarterly VAT, CIT in compliance with tax regulations regularly reconcile book accounts with the Tax Department and work with local tax office
- Manage, notice for all taxation matters and all statutory filings
- Together with the accountant team, working with auditors to complete audited financial report
2.Budget planning and management:
- Responsible for the annual operating budget of the Company.
- Building & managing the financial forecasting and budgets and overseeing the changing ability of financial status.
- Perform cash flow forecasting, working closely with the operations of company in analyzing margins, variances, and cost analysis.
- Review finances for project cost and advise the BOD's decision-making.
3.Accounting procedures and system:
- Set up all accounting procedures, such as cashbook keeping, collecting accounting information, set up forms, reports, and documents storage process,
- Set up procedures to control revenue and collect debt efficiently.
- Organize the accounting system and control accounting entries, and transactions of the Company.
4.Other tasks as requested by direct management
JOB REQUIREMENTS
- Bachelor's degree in finance or relevant field strongly preferred.
- Certificate of Chief Accountant is required.
- At least 2 - 3 years of equivalent position, experience in a service company that has several branches is a plus.
- Can communicate in English
- Strong management and leadership skills, ability to build up the accountant team.
- Proactive to handle the new tasks
- Flexible, ability to work under high pressure
OUR BENEFITS
- Competitive salary
- 13th-month bonus
- KPI reviews 4 times a year
- Lunch allowance, parking allowance, telephone allowance
- Regular health check-ups, regular flu vaccinations
- Regular company trips
- 24/24 accidental insurance
- 12 paid day off per year