- Handle full set of accounts and generate relevant reports
- Plan and control the company’s cash flow, funding and budget allocation
- Control and manages end-to-end financial processes in support of the account which includes collections, payments, monthly close activities and balance sheet reconciliation
- Ensuring all accounting systems, practices, controls and procedures are fully compliance with company policy
- Establish effective internal control procedures to improve accounting and reporting systems
- Ensure all the accounting records are properly updated and reconciled in the accounting system
- Liaise with Internal and External Auditors, Tax Agent, Legal, Bankers and etc.