Position Overview
Duties & Responsibilities:
- Access, analyze, and edit Excel documents related to financial data to ensure accuracy and completeness.
- Record and document financial transactions by entering account information into the system.
- Summarize the current financial status of the company by preparing essential financial reports, including balance sheets, profit and loss statements, cash flow statements, and other relevant reports.
- Prepare entries for assets, liabilities, and capital accounts by compiling and analyzing account information for accurate reporting.
- Maintain accurate tracking and monitoring of accounts payable and receivable.
- Responsible for generating accurate sales tax invoices for customers.
- Oversee tax-related matters with the Inland Revenue Board (IRB) and other government agencies, in collaboration with legal and tax consultants.
- Manage banking matters.
- Oversee and assist wit...