Prepare a full set of management accounts, including Accounts Receivable (AR), Accounts Payable (AP), bank reconciliations, fixed asset register, and journal entries to ensure accurate financial records
Compile tax-related information and manage GST (Singapore) submissions in compliance with regulatory requirements
Prepare monthly management reports for management review
Coordinate year-end audit process and prepare annual financial statements to support statutory compliance
Perform financial and variance analysis to support business planning, budgeting, and forecasting
Continuously improve accounting processes and internal controls to enhance reporting quality and operational efficiency
Assist management in cost control and profitability analysis