Job Descriptions- Oversee day-to-day financial operations, including Accounts Payable (AP), Accounts Receivable (AR), General Ledger (GL), and intercompany transactions.
- Ensure compliance with financial reporting standards and address audit-related issues.
- Coordinate with tax authorities and regulatory agencies on all relevant matters.
- Prepare monthly financial statements, semi-annual budgets, and various management and analytical reports.
- Participate in regular virtual meetings with the Finance Manager at the Singapore headquarters to provide updates and financial reporting.
- Monitor and manage cash flow; prepare cash flow forecasts and report on cash and bank balances.
- Handle all banking-related matters, including negotiations and relationship management.
- Ensure adherence to the company's internal accounting policies and procedures.
- Maintain timely submission of financial reports to headquarters in accordance with reporting deadlines.
- Lead and supervise a small team of accounting staff.