- Responsible for the Company’s full set of accounts
- Preparation of month-end management accounts including audit schedules
- Preparation of quarterly GST Returns
- Perform monthly bank reconciliations
- Participate in ad hoc financial projects and process improvements
- Assist the Finance Manager with financial operations, including maintenance of proper processes on the daily financial and accounting transactions like cash management, receivables, payables, banking, and record transactions
- Ensure compliance with corporate policies and guidelines
- Assist with the improvement of financial systems to enhance cash flow management, financial reporting, internal control and compliance, and accounting information consolidation
- Prepare financial reports for audit and queries by auditors
- Prepare and review inter-company billing and reconciliation
- Prepare AP and expense claims payments
- Preparation of quarterly GST returns and ECI computation
- Liaise with auditors, Tax agents and Corporate Secretary on audit, tax, and AGM matters
- Other related duties as assigned from time to time