- Lead and manage the full spectrum of accounting operations, ensuring accurate monthly, quarterly, and annual financial closing in compliance.
- Oversee and review all accounting modules including GL, AP, AR, Inventory, and Fixed Assets.
- Strengthen and develop the accounting team to ensure work accuracy, efficiency, and compliance with company standards.
- Establish and improve internal control processes, accounting workflows, and documentation for audit readiness.
- Review and analyze product costing, gross profit, and financial performance to support management decisions.
- Manage all tax matters such as VAT input/output, withholding tax, corporate income tax, and coordinate with external auditors.
- Prepare financial statements, management reports, and perform financial analysis for executive presentation.
- Handle Finance functions including cash flow management, bank reconciliation, payment control, and credit line monitoring.
- Utilize basic Treasury knowledge in liquidity management, loans, interest, and financial instruments.
- Liaise with banks, auditors, and external parties for all finance & accounting matters.
- Support the management team in developing financial strategies and improving financial operations.
- Collaborate in developing or improving ERP/accounting systems to support business growth.