Handle full set of accounts [Accounts Payable (AP), Accounts Receivable (AR), fixed assets, GL, bank and taxation], including reconciliations and preparation of accounting schedules
Manage month end closing and ensure all journals, bank reconciliations, AR and AP are posted accurately and timely
Provide financial information and reports on timely basis to internal and external parties
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Handle full set of accounts [Accounts Payable (AP), Accounts Receivable (AR), fixed assets, GL, bank and taxation], including reconciliations and preparation of accounting schedules
Manage month end closing and ensure all journals, bank reconciliations, AR and AP are posted accurately and timely
Provide financial information and reports on timely basis to internal and external parties
...
Prepare and monitor the quarterly expense, headcount, capital forecast and coordinate variance evaluation reports. Build financial modeling / scenario analysis for business integration
Month end close reporting, tracking key performance indicators and management report preparation.
Support business in capital project budgeting, business case, ROI and actual monitoring
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