● Analyze company finances
● Keep tax records up-to-date
● Maintain and update fixed asset records
● Make financial analyses and forecasts on investments and other business decisions
● Manage the company's bank balances and cash flow
● Monitor monthly expenses
● Oversee internal and external company audits
● Prepare financial accounts for monthly review
● Reconciling company accounts
● Process all accounts receivables and payables
● 2 - 4 years of relevant experience in corporate accounting for US based company
● Graduate of BS or Masters’ degree in Finance, Economics, Accounting or related field
● Preferably a CPA or US CMA holder
● Familiarity with finance and statistical analysis software
● Understanding of financial and accounting principles
● Excellent attention to detail and organizational skills
● Excellent English communication skill