Prepare month-end closing entries for Singapore and Saudi entities, ensuring accuracy and completeness
Review general ledger transactions and ensure all transactions have been properly recorded and accounted for
Prepare audit schedules for Singapore and Saudi entities
Assist in balance sheet reconciliations and resolve discrepancies in a timely manner
Assist on annual audit and preparation of financial statements for Singapore and Saudi entities
Prepare tax computation for Singapore and Saudi entities
Prepare and submit VAT returns timely and accurately
Support transfer pricing documentation and intercompany transactions between entities
Support process improvements
Serve as a key finance business partner to the Saudi subsidiary by providing guidance to support business operations, while ensuring compliance with established SOPs, internal policies and control framework <...