- Perform month-end closing & financial accounting including reviewing of journals and bank reconciliations
- Participate in planning and advise the Managing Director in financial-related matters.
- Handle all corporate tax and GST matters.
- Provide management reports and budgets, including financial analysis and review.
- Analysis of balance sheet.
- Ensure timely submission of financial statements and management reports.
- Manage the company’s Fixed Assets
- Management of treasury operations including cash flow for all countries, credit control, foreign exchange management, banker's guarantees.
- Assist on other adhoc duties