- Prepare and maintain financial records, statements, and reports according to accounting standards and regulations.
- Analyze and reconcile accounts, identify and resolve discrepancies, and ensure accuracy and completeness of financial data.
- Manage cash flow, budgeting, forecasting, and tax compliance for the company.
- Perform audits, internal controls, and risk assessments to ensure compliance with internal and external policies and laws.
- Provide financial advice and guidance to management and stakeholders on financial performance, profitability, and strategic planning.
- Collaborate with other departments and external parties such as auditors, banks, vendors, and customers on financial matters
- Handle CPF for employees
- Liaising with External auditors