Job Descriptions:-Manage full sets of accountsPrepare monthly Accrual-Trade&Non-Trade/Accrual-Subcon/PrepaymentPrepare monthly calculation for realised/unrealised forexPrepare monthly Stock Reconciliation - quantity/value/revaluationPrepare monthly Stock Revaluation reportPrepare monthly system stock adjustment (NCR)Prepare monthly and quarterly financial & management reports and analysisPrepare yearly forecast and budgets reportsPrepare GST, import duty, withholding tax and corporate income tax returnEnsure timely and accurate financial closing and compliance to local statutory requirements and accounting standardsLiaise with external parties, e.g. auditors, tax agents, government authorities etcOther ad-hoc duties assigned by the Management