We are seeking a Bookkeeper that will fill the following responsibilities:
Reconcile bank and credit card statements on a regular basis.
Perform accounts reconciliation (payable, receivable, accruals)
Maintain and oversee accurate general ledger accounts.
Lead VAT reporting, Surplus tax reporting, Customs
Lead Fixed Asset process, including reconciliation of accounts.
Assist with month, quarter, and year-closing procedures.
Assist with quarterly review & annual audit process.
Support, build, and operate proper internal controls.
Ad-hoc tasks as required
Requirements: At least 3 years of deep professional Knowledge and experience in bookkeeping - a Must.
Proven experience working with Oracle - an Advantage.
Experience in a public traded global Hi-Tech company - an Advantage.
Bookkeeping Certificate Type 3 - an Advantage
Proficient in Excel- Pivot, VLOOKUP, reports.
English proficiency - High level required, both reading and speaking- Must.
Deep professional Knowledge and experience in bookkeeping
Deep Understanding in tax regulation tasks (WHT, VAT, ETC)
Understanding in Fixed Assets Process
Ability to work independently and as part of a team.
Excellent communication skills and a team player
AI experience - an Advantage
This position is open to all candidates.