Responsibilities:
To prepare monthly, quarterly and year-end financial statement including profit & loss, balance sheet, tax computations and others financial report.
To handle group consolidation and prepare of group return.
To handle group cash flow including monitoring daily bank balances, cash flow forecast and planning & verification of weekly payments.
Responsible to manage and monitor company performance including assessment of product costing and profitability.
Responsible to ensure company’s accounting records & systems are complied with company’s policies, related tax & statutory requirements.
Responsible to review journal entries and ensure inter-companies accounts are accurate and maintain up to date General Ledger.
Responsible to plan and verify weekly and monthly payments.
Liaise with Auditors, Tax Consultant, Bankers, etc.
Skills:
Good acknowledge of accounting standard, tax regulation and legal requirement.
Ability to work as a team as well as lead a team.
Meticulous with an eye for details.