Roles & Responsibilities:
Financial Reporting:
- Prepare and analyze financial statements, including profit and loss statements, balance sheets, and cash flow statements. Ensure accuracy and compliance with accounting standards and regulatory requirements.
Budgeting and Forecasting:
- Collaborate with senior management to develop annual budgets and forecasts. Monitor variances and provide insights to support decision-making and strategic planning initiatives.
Accounts Payable and Receivable:
- Manage accounts payable and accounts receivable functions, including processing invoices, reconciling accounts, and overseeing collections. Ensure timely payments and receipts, and maintain strong relationships with vendors and customers.
Tax Compliance:
- Coordinate with external tax advisors to ensure compliance with tax regulations and reporting requirements. Prepare and file tax returns, including GST, and corporate income tax, in a timely and accurate manner.
Financial Analysis:
- Conduct financial analysis to identify trends, opportunities, and risks. Provide actionable insights to support business performance improvement and cost optimization initiatives.
Internal Controls:
- Implement and maintain effective internal controls to safeguard company assets and mitigate financial risks. Ensure compliance with internal policies and procedures, as well as external audit requirements.
- Financial Systems and Processes: Continuously evaluate and improve financial systems, processes, and workflows to enhance efficiency, accuracy, and scalability. Identify opportunities for automation and optimization to streamline operations.
Experience in Excel and PPT