Ensure timely, accurate month-end closing and financial reporting to Management
Responsible for accounting processes and tasks (i.e.: AP & AR process, GL, account reconciliation, etc.).
Ensure reporting integrity and compliance with FRS.
Review and analyse monthly financial performances and key performance indicators.
Managing the banking facilities of the company and dealing with bankers.
Support forecasting and budgeting exercise.
Review and analyse actual, forecast and budget.
Coordinate and liaise with external parties like external auditors, tax agents, corporate secretarial agents, local tax and government authorities where required
Support and ensure compliance with all finance filing requirements, tax filing requirement (GST/CIT), audits, procedures and forms both statutory and internal.
Assist in new processes and system implementation when required.