Financial Reporting & Compliance: Overseeing the month-end/year-end close process, ensuring timely and accurate reporting for local and overseas asset companies and adherence to accounting, tax and regulatory requirements.
Budgeting and Analysis: Support annual budget and forecast preparation and performing variance analysis to monitor performance.
Treasury: Monitoring monthly cash flow and performing cash flow projection.
Tax: Managing GST, corporate tax and any other tax filings, including liaising with local tax agents, to ensure compliance with the local tax regulations.
Audit Management: Preparing audit schedules and serves as a primary liaison with auditors.
Leadership: Lead and develop the finance team members.