Job Descriptions• Perform full spectrum of accounting functions and financial affairs
• Monitor and control all of P&L, balance sheet and cash flow to align with budget planning
• Lead and manage finance and accounting team to leverage productivity and efficiency, develop cost structure and cost allocation for more accurate
• Prepare forecasting requirements, annual budget, scheduling expenditure, analyzing variances, initiating corrective actions, cashflow forecast to ensure optimal treasury position and facilitate financing requirement
• Handle month-end and year-end closing including manage reports, budget and forecast.
•Prepare and reviewing the balance sheet reconciliation to ensure that all reconciliations are complete and accurate.
•Responsible for the timely filing of corporate tax returns and ensuring compliance with the local regulations of the Revenue Department. This includes performing tax computation and handling tax-related matters (VAT, Withholding Tax and Corporate Income Tax)
•Maintain proper internal control system to align with another operational department.
•Make recommendations and improvement in invoice and finance payment processes to support and increase operational efficiency in operations
•Coordinate with external auditors, revenue department, and others for all financial accounting and tax activities.
•Daily supervision of accounting and finance team to ensure compliance with regulatory, tax, audit, reporting requirement
•Other relevant tasks as assigned by management