Assist to lead and guide the accounting team to perform the full spectrum of the accounting function.
Prepare and provide timely, accurate financial information and monthly reports to management and the Board.
Handle all aspects of financial accounting matters and manage cash flow.
Prepare annual budget
Handling full set accounts
Manage and coordinate for annual audits and tax return filings (GST and VAT).
Establishing and reconciling all companies operating bank accounts.
Prepare financial reports, forecasting, budgeting and statutory reports.
Manage timely monthly closing process and reconciliations.
Prepare and review budget, revenue, expense, payroll entries, invoices, and other accounting documents.
Resolve accounting discrepancies.
Oversee, review & implement an effective system of internal control procedures and reporting.
Interact with internal and external auditors in completing audits.