Prepare monthly and quarterly closing accounts and Management Accounts for internal review for EPOMS Management to track timely the company performance.
Prepare monthly individual and consolidation financial statement for EPOMS group of companies
Capture and record all journal entries timely and monitor closely ledger balances.
Perform adjustment entries to financial systems where necessary.
Review accrual entries and supporting documentation to verify the validity of accrued expenses and ensure compliance with accounting standards and company policies.
Update and implement accounts and financial information timely in line with the latest accounting standard i.e. Financial Reporting Standards (FRS) and Malaysia Financial Reporting Standards (MFRS).
Ensure timely and accurate reporting of financial results, including monthly, quarterly, and annual financial statements.