Assist group of department to prepare/ maintain full set of company accounts (e.g. AP/AR, Bank Reconciliation, cashbook, cashflow, GST submission, ..
Assist group of department to prepare/ maintain full set of company accounts (e.g. AP/AR, Bank Reconciliation, cashbook, cashflow, GST submission, Financial Report, Intercompany billing).
Assist to perform month-end accounts closing including data entry to accounting system.
Process expenses, staff reimbursements, payments and claims.
Liaise with external audit, tax agent, company secretary etc.