Oversee and manage group consolidation, ensuring timely and accurate month-end and year-end closings and preparation of consolidated financial statements.
Review subsidiaries’ monthly management accounts and ensure compliance with group accounting policies.
Prepare/ review monthly management reports.
Review monthly cashflow forecasts.
Co-ordinate the preparation and review of annual budget and forecasts.
Perform financial analysis to support business decisions and optimize profitability.
Oversee the full spectrum of accounting and finance functions, including day-to-day financial operations for newly set up business units and investment holding companies.
Review and ensure timely submission of GST returns.
Review tax computation and ensure accurate and timely income tax filing.
Handle group tax planning and transfer pricing analysis and documentation.