What We Can Offer
- Responsible for the accounting following regulations (VAS, IFRS, Accounting management reports, tax declaration reports);
- Record accounting transactions and issue invoices;
- Prepare weekly/monthly Cash flow and monthly Financial Report;
- Coordinate with other departments for Forecast/Budget and other Ad-hoc reports;
- Working with Tax authorities, Auditors on financial-accounting related matters;
- Developing policies and regulations on the management of financial and accounting activities at the Company.
- Strong communication skills (and fluent English)
- Experience in budget management and cash flow
- Existing experience in IFRS reporting is a plus.
- Ability to work under tight deadlines, plan personal workload and delegate effectively
- Beyond hard skills, team player, collaborative, fun, passionate entrepreneurial and eager to work in a young and fast-growing environment
- Ability to inspire confidence and create trust