- Job Description
Manage inter-company transactions
Perform the treasury function (payment, collection, banking
relations)
Handle G/L transaction processing and ensuring transactions
are appropriately recorded.
Fixed Asset management
VAT filing
Perform monthly closing and prepare account reconciliation
Supporting internal control/internal audit/external audit/Tax
reconciliation
Supporting management report
- Requirements
Minimum 5years of applicable Finance & Accounting
experience in general accounting.
Experience in working for a multinational corporation
CPA - AICPA or KICPA is preferred
English Fluent
Using SAP experience is a plus
Understanding that all financial reporting is prepared in
compliance with all financial policies (e.g. IFRS)
Advanced knowledge of general accounting/general ledger
concepts and applications
Proficient knowledge in basic application programs(e.g. Word,
Excel, Power Point)