Job Description
Responsibilities: Responsible for handling full set of accounts, day-to-day financial transactions and operations, and accounts receivable function including data entry Provide accurate, reliable and full set of financial statements and accounting records Preparation of monthly accounts schedules, financial statements, management reports, budgets, forecast and cash flow management Prepare and review monthly Balance Sheet Reconciliation, Corporate Reporting Package and revenue analysis Responsible for accounting and reconciliation for any withholding tax and local tax such as GST where applicable Ensure compliance with statutory reporting requirements and financial accounting regulations Liaise with internal and external parties including customers, bank, vendors, agencies, auditors etc. Assist to provide tax agents and bankers with information when required Support on cash flow projection and funding requirements Liaise with auditors for submission of annual accounts Manage Cash flow/A...