Monitor all the financial and accounting processes in compliance with the company’s policy
Able to manage and forecast taxing plan, while act as advisor to management team
Forecast cash flow and budgeting reports for management team in order to proceed investment plan if possible
Liaised with external agency/division/authority as relevant
Monitor and audit accounting and taxing reports and submit in a timely manner
Responsible for and manage team members effectively and productively
Prepare and monitor yearly budget
Able to certify budget request
Responsible for other reports such as balance sheet, profit and loss and closing account, in accordance with official law under time constraint