Manage full set of accounts by performing daily accounts entry to ensure accurate financial records
Process monthly supplier payments to maintain timely vendor settlements
Close accounts monthly to prepare for financial reporting
Conduct bank reconciliations to verify cash balances and detect discrepancies
Prepare and submit quarterly GST returns to comply with tax regulations
Manage worker work pass applications to maintain legal workforce compliance
Oversee worker and company insurance arrangements to mitigate organizational risks
Lead recruitment and termination processes to maintain optimal staffing levels