Administration of the companys LMW licence and co-ordinate for all documentation, submission, reporting and correspondence with the Customs Department.
Maintain complete records for imported and locally sourced materials/components, production usage, wastage/scrap, finished goods, export, local sales, etc and other LMW-controlled transactions.
Administer companys SST compliance process, including determining the correct tax treatment of relevant transactions and maintaining complete supporting records.
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To ensure timely closing of all accounts and prepare monthly/quarterly management account reports for submission to Joint Venture partners; ensuring adherence to accounting principles and company policies.
To perform financial analysis of the accounts to ensure accuracy and effectiveness of the bookkeeping. Any discrepancies are identified with the corrective actions and communicate to respective colleagues.
Responsible to ensure preparation, uploading and posting of journals to financial system. Ensure that all journals prepared are supported by appropriate documentation and approvals.
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Own the maintenance and update of accurate standard cost in the Company’s ERP system.
Develop into the Company expert on the Inventory Module within the ERP system and to understand fully the transactions flow of the valuation of inventory, related cost of sales and quantize on hand.
Ensure that inventory reserve policies are properly adhered to for all sites.
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