Handle full set of accounts. (More than one entity)
Assist to manage daily finance and accounting functions of the Company and its subsidiaries
Prepare and ensure timely submission of management reporting, statutory reporting
Deliver key analysis of financial and operational performance including cashflow projections on a weekly/monthly/quarterly basis, report need to separate each division
Liaising with banker and responding to any queries, such as Bank Guarantee, Notice of Withdraw, Credit Facilities, bank mandate, hire purchase agreement, etc. Compile the relevant business documentation used in banking processes
Responsible for quarterly GST reporting, assist to check all company GST report before submission
Prepare required schedules/report for XBRL filling
Liaise with external auditors and tax agents and drive corporate compliance and regulations