Menguruskan set lengkap perakaunan syarikat (Full Set: AP, AR, GL, Bank Reconciliation, Fixed Assets).
Menyediakan Penyata Kewangan Bulanan (Management Accounts: P&L, Balance Sheet, Cash Flow) tepat pada tarikh tutup (cut-off).
Mengendalikan proses transisi rekod perakaunan dari Enterprise ke Sdn Bhd termasuk opening balances, asset acquisition, dan inter-company/director balances.
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