To maintain and manage a full spectrum of financial accounting including processing transactions, reporting and analysis, work processes, banking and administrative matters.
Responsibilities
Manage a full spectrum of financial accounting including processing transactions.
Prepare monthly and statutory financial statements including financial and variance analysis for submission to HQ for financial consolidation.
Prepare audited financial statement and XBRL filing.
Prepare and maintain audit schedules.
Prepare and maintain tax computations, tax schedules and tax returns.
Prepare and submit quarterly GST returns to IRAS.
Prepare annual budgets and analysis.
Prepare payments and bank reconciliations.
Manage the status over accounts receivables collection and doubtful debts provision.
Manage annual financial and internal audit and to handle auditors.