Make financial reports and make reports for financial analysis.
Make reports for monthly sales, monthly expense, royalty, cash and bank balance, cash flow for forecast.
Checking documents made by financial staff such as advance payment, deposit, journals, depreciation, petty cash, cash in banks, for suppliers, invoices, official receipts, internal documents…
Checking documents made by other departments such as purchase requisition, work requisition, purchase order, fixed assets requisition, fixed assets control sheet, payroll…
Verify invoices from suppliers.
Managing and overseeing the daily operations of the accounting department
Perform costing calculation for all kind of products
Establishing and enforcing proper accounting methods, policies, and principles
Monitoring and analyzing accounting data and produce financial reports or statements
Review and close monthly financial report
Daily Cash/Bank management and reconciliation
Daily control of payment and purchasing work
Monthly and annual tax declaration
Perform Daily/monthly/yearly key reconciliation in proper technical manner
Daily problem solving and coordinating internal and external stakeholder
Other work required by superiors
Job Requirements:
Males or Female, Age over 30
Bachelor’s degree of accounting or finance, pursing CPA is preferable.
At least 5 years in financial, Accounting, Tax, or management experience.
Good comment of English
Proficient in using financial software, Microsoft office and QuickBooks.
Knowledge of Cambodia accounting standards (CIFRS for SMEs)
Knowledge of Cambodia tax law
Friendly, politely, and honesty
Positive attitude and willing to challenge the new thing.
Teamwork, adaptability, initiative, analytical, hard-working, ability to work fast and accurately