Reconcile intercompany balances and ensure no discrepancies in month-end balances.
Ensure timely and accurate month-end, quarter-end and year-end statutory and management reporting with preparation of variance analysis, cashflow statement, accounting schedules and bank reconciliation.
Prepare group financial consolidation for the holding company and its Malaysia branch.
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Operate and extend our image and video generation pipeline: frontier models, reference-anchored character consistency, multi-stage production workflows