Oversee full spectrum of accounting functions for a holding entity and a few other group entities, including billing, credit control and management, payables and general accounting
Assist and work closely with both the overseas and local finance teams to ensure smooth daily finance operations
Provide technical support and guidance to overseas finance team
Manage intercompany billings and monthly intercompany reconciliation
Coordinator year-end audit work for both Group and entity statutory reporting
Prepare quarterly GST returns and review annual corporate tax returns prepared by tax agent to ensure timely filing
Assist in tasks required for Transfer Pricing Documentation
Prepare monthly cash flow, treasury reports and bank placements
Liaise with Auditors, Tax agents, Corporate HQ teams such Treasury, Legal and Co Sec, Group Finance
Support the Operations, Commercial and other internal functions
Improve entity cash flows management and collection process
Review and improve existing business processes and collaborate with IT on system enhancements