Support the preparation of monthly, quarterly, and annual management financial reports for leadership review.
Assist in compiling monthly cash flow reports and developing the annual budgeting forecast.
Contribute to the preparation of consolidation schedules, review management accounts, and conduct financial performance analysis.
Participate in month-end and year-end closing processes, ensuring timely completion of financial and management reporting.
Coordinate with internal teams and external parties including auditors, tax consultants, company secretaries, bankers, and relevant authorities on financial-related matters.
Take part in inventory checks and internal audit activities to strengthen internal controls and ensure compliance with company policies and procedures.
Carry out special analyses and support ad-hoc projects when required.