• Execute monthly, quarterly and year end-closing for all related companies for local (statutory financial statements) and group books by accounting standard (GAAP, IFRS,TFRS)
• Manage the Accounting Team to review their work, make decisions on key issues
• Manage external and internal Audits
• Execute consolidation reporting packages for all companies together with GL Accountants
• Comply company Accounting standard to the new acquired company
• Key player on accounting improvement projects
• Supervising, managing and controlling all accounting and finance transactions to ensure accuracy and compliance with company policies.
• Conducting transaction reconciliations and preparing month-end closures, year-end closures, and all related financial reports.
• Being responsible for all accounting functions and controlling activities related to AP, AR, cash flow forecasts and cash management.
• Overseeing and controlling the reporting activities.
• Produce timely and accurate reports to management team
• Coordinate and assist the Director of Finance with various financial tasks as required.
• Being responsible for overall management of working capital improvements and cash flow management
• Developing and monitoring internal controls and ensuring that accounting activities are in accordance with legal, government and company policies.
• Implementing global finance policies, procedures and processes to improve effectiveness, efficiency and accuracy of financial information.
• Managing all tax matters, including income tax, tax returns, tax refunds and half-year and year-end tax submissions.
• Leading and supervising the team.
• Developing external relationships with appropriate contacts, including auditors, solicitors and bankers.