Handle full set of accounts (perform month end closing, year-end closing and audit schedule, petty cash checking, monitor GL, A/P and A/R, submit accounting report and etc.
Responsible and to perform daily banking operation
Responsible to prepare, compile and review statutory submission such as SST, banker etc.
Liaise with company’s secretary, auditors, tax agents, and co-operate with them to fulfil the requirements set by the statutory bodies.
To coordinate in stock take process
To carry out any other duties as instructed by superior from time to time