• Handle accounting, taxation and treasury functions; Manage statutory financial statement and external audits; Liaise with tax authorities for any audit
• Manage accounting month end closing, quarterly closing, annual closing and related reports to all stakeholders.
• Monitor cash flow and internal control process for cash management.
• Monitor performance and take appropriate actions to ensure effective use of the team's resources to improve organizational productivity and efficiency.
• Analyze the accurate of all accounting and financial report, also preparation strategic report for management decision making.
• Analyze and review the trends and variances evident in the company’s financial report.
• Monitor all Accounting & financial analysis report accordance with business strategic plan.
• Implement best solution to produce accurate and timely financial reports and information for HQ report.
• Ensure that all legal and statutory requirements are observed.