Perform month-end and year-end closing for management reporting and statutory compliance under SFRS
Prepare monthly P&L, balance sheet, and supporting balance sheet schedules with transaction-level movement analysis
Post month-end closing journal entries, including accruals, prepayments, FX revaluation, and provisions
Perform monthly bank reconciliations across multiple currencies and entities
Perform intercompany transaction reconciliation and follow up on unmatched items with regional counterparts
Assist in preparing and submitting quarterly GST returns, annual corporate income tax filing, withholding tax, and related schedules
Prepare audit schedules and liaise with external auditors, tax agents, and corporate secretary
Support process improvement and finance automation initiatives — including reviewing reconciliation logic, validating system-generated journals, and identifying a...