To ensure timely and accurate completion of management reports, financial statements, income tax computations and preparation of statutory financial statements.
Preparation of budgets, forecast and cashflow management and control.
Assist in audit preparation and liaise with auditors when required.
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Balance Sheet Reconciliations: Perform regular, detailed reconciliations of bank accounts, fixed assets, intercompany balances, and prepayments to identify and resolve discrepancies.
Fixed Asset Management: Maintain the fixed asset register, tracking acquisitions, disposals, and monthly depreciation schedules.
Financial Reporting Support: Assist in the preparation of accurate financial statements (Balance Sheet, Income Statement) and supplementary schedules for management review.
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To optimise the Company’s financial structure to ensure effective cost management and responsible for preparing aggressive cost management plan in competitive environment.
Ensure the Company complies with all legal requirement and statutory compliance of all business transaction through liaison with management and legal advisors.
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To optimise the Company’s financial structure to ensure effective cost management and responsible for preparing aggressive cost management plan in competitive environment.
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