Bilangan Pemohon
:000+
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Your responsibilities will be:
2. Verify the accuracy of invoices and other documents.
3. Assist in preparing annual budget, reports, statistics and analysis detailing financial results.
4. Assist in financial statements preparation, ensuring compliance with accounting standards and regulations.
5. Facilitate internal and external audits by providing necessary information and supporting documentation.
6. Implement audit recommendations to enhance financial controls.
7. Monitor and manage cash flow to ensure the availability of funds for operational requirements.
8. Forecast cash flow positions, related borrowing needs, and available funds for investment.
9. Stay informed about changes in financial regulations and ensure compliance with local and international financial standards.
10. Observe and comply at all times with all Acts, laws, rules and regulations pertaining to and/or affecting the Group’s business and be conversant with all statutory updates (where required) as may be introduced there to.
To be eligible for this role, you will require:
Pekerjaan ini tidak lagi menerima permohonan.
Tatal ke bawah untuk melihat kerja yang serupa .
Kongsi kerja ini dengan rakan anda
Kongsi kerja ini dengan rakan anda
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