Monitor and review key account reconciliations (e.g., general ledger accounts, intercompany balances, accruals, suspense accounts) to ensure accuracy, timely resolution of discrepancies, and strong balance sheet integrity.
Coordinate and drive month-end and year-end close activities, ensuring deadlines are met and all R2R deliverables are completed with high quality.
Oversee the preparation of management reports, financial schedules, variance analysis, and other supporting documents required for financial reporting.
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Actively participate in all marketing and promotional events organized by Outlet and HQ.
Responsible for vehicle stock receiving from principal up to preparation of vehicle to be delivered to customer such as JP J registration and Puspakom inspection.
To assist customer for test drive and to ensure the vehicle is in excellent condition for test drive
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