Tasks:
• Ensure proper and timely reconciliation, documentation and internal control.
• Ensure proper and timely payment.
• Assist in various business queries and reporting issues.
• Ensure compliance with relevant statutory requirements.
• Collate and file regulatory report inputs.
• Facilitate the accountant in providing effective and relevant business analysis and reporting.
• Facilitate the accountant in preparation month end accounts and management reporting.
• Look for continuous business process improvement to meet best practice benchmark.
• Cash Flow.
• Petty Cash
• Ad hoc project.
• Payroll.