Responsibilities
Responsible for managing the full set of accounts
Handle the preparation of month/year-end financial and
management reports
Analyze and interpret financial results and the company's
performance
Prepare month-end financial closing procedures and
conduct general ledger reconciliations
Ensure compliance with internal control systems and
statutory financial regulations
Provide supervision and guidance to team members to
promote cooperation and maintain high-quality records
and reports, meeting all deadlines
Identify areas for process and procedure improvement to
enhance efficiency
Monitor cash flow requirements and manage treasury
functions
Handle Fixed Asset accounting, reconciliations, and
depreciation journals
Check, inspect, and reconcile bank deposits and payments
Examine bank statements and reconcile them with general
ledger entries
Ensure disbursement of funds align with approved budget
and allocation
Review invoices and supporting documents from all site
offices (projects) and obtain approval for payment
processing
Facilitate payments to suppliers and subcontractors
according to internal payment terms
Prepare monthly supplier and customer statement
reconciliations
Any other HR / General administration duties as assigned.