Prepare monthly financial statements, project cash flow forecasts and variance analysis against project budgets.
Ensure full compliance with statutory accounting standards and tax regulations and coordinate smoothly with internal and external auditors, tax agents, and corporate secretarial parties.
Strong knowledge of financial accounting principles, general ledger management, and preparation of financial statements.
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Ensure consistent accounting treatment, proper supporting documentation and compliance across different countries.
Review corporate and indirect tax calculations and filings prepared by the finance team or local tax agents, ensuring accuracy, proper reconciliation to the accounts, adequate supporting documentation and timely submission.
Coordinate with internal teams, auditors, tax agents, and external parties on reporting and compliance matters.
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Budgeting: support in data collection from divisions, input and prepare budget templates inclusive of cost allocation processes for management discussion and submission/uploading budget templates following Global timeline and instructions
Audit and Tax Support: Support in providing requested data and reports to ensure audit results, direct and indirect tax returns and submission are carried out timely and accurately.
Cash Flow Management: prepare and update cash flow template as assigned
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Ensure consistent accounting treatment, proper supporting documentation and compliance across different countries.
Review corporate and indirect tax calculations and filings prepared by the finance team or local tax agents, ensuring accuracy, proper reconciliation to the accounts, adequate supporting documentation and timely submission.
Coordinate with internal teams, auditors, tax agents, and external parties on reporting and compliance matters.
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