- Full set of account
- Responsibility for accurate and timely accounting and reporting in accordance with Finance Reporting
- Banking and treasury operations - issue payment, LC, TR, BG, etc.
- GST accounting and compliance
- Cashflow management and reporting, including petty cash.
- Project cost control & allocation, revise budgeting cost
- Prepare financial reporting, monitoring and analysis
- Monitoring of collection
- Liaise with auditor
- Liaise with tax agent in yearly income tax compilation and gather information for tax submission
- Supervision of account executive
- Knowledge of ACCPAC
- Knowledge of Work in Progress
- Special projects as may be assigned from time to time