รายละเอียดงาน- Support daily financial operations including Accounts Payable (AP), Accounts Receivable (AR), General Ledger (GL), and intercompany transactions.
- Assist in preparing monthly financial statements, budgets, and management reports for internal use and submission to the regional headquarters.
- Coordinate with the Finance Manager and participate in regular meetings with the Singapore HQ to provide financial updates.
- Monitor cash flow activities, assist in the preparation of cash flow forecasts, and ensure accurate reporting of cash and bank balances.
- Liaise with banks and support banking-related matters under the guidance of the Accounting Manager.
- Ensure accounting records and processes follow company policies and financial reporting standards.
- Coordinate with external auditors and provide support during audit processes.
- Maintain communication with tax authorities and assist with relevant tax documentation.
- Supervise and support junior accounting staff to ensure effective day-to-day operations.