Job Summary
Ensure timely and accurate monthly financial reporting and manage full set of accounts while collaborating with stakeholders and external parties to maintain compliance and improve processes.
Responsibilities
- Deliver timely and accurate monthly financial reports to Management for informed decision-making
- Monitor and track receivables due from ship owners and actively engage with them to facilitate collections
- Manage full set of accounts including Accounts Receivables (AR), Accounts Payable (AP), and General Ledger (GL) to maintain accurate financial records
- Prepare audit schedules to support internal and external audit processes
- Organize and maintain accounting records to ensure compliance with internal controls and accounting standards
- Prepare annual income tax schedules to meet statutory requirements
- Communicate and collaborate with internal stakeholders to ensure accuracy and timeliness of accounting deliverables
- Coordinate and liaise with external auditors, tax agents, corporate secretarial agents, and government authorities to fulfill regulatory obligations
- Ensure compliance with all statutory and regulatory requirements relevant to accounting and finance
- Participate in company and departmental initiatives to simplify accounting processes, strengthen internal controls, and enhance operational efficiency