Prepare monthly management accounts and analysis, highlight key financial risks and support business decision making process
Maintain records of all financial documents with appropriate supporting documents, update records as necessary, monthly reconciliation for balance sheet items
Liaise with external and internal auditors, tax agents, regulators and tax authority in respect of company\'s financial matters, prepare audited financial statements and other statutory reports
Raise / Review journal entries for accuracy and appropriateness, ensure compliance with internal and external policy, guidelines and best practices