Job Responsibilities:
- Perform month-end account closing activities and reconciliations within timeline
- Ensuring the financial information complies with professional and regulatory standards
- Gathering supporting documentation and performing recordkeeping
- Fixed asset entries generation
- Reconcile inter-companies balances and transactions
- GST preparation for quarterly group submission
- Handle yearly tax computation and liaise with the tax agent for income tax filing
- Handle yearly statutory audit, including collate / prepare audit schedules, draft statutory accounts and attend to auditors’ queries
- Handle IFRS116 queries from auditors and UK
- Assist in projects
- To perform any ad-hoc tasks as and when assigned