Prepare month-end & year-end closing journals
Compile financial reports for management in accordance to policies & procedures
Ensure bank sheet reconciliations are completed on a timely and accurate manner
Check daily bank statements for abnormalities
Prepare quarterly GST submission
Manage Corporate tax compilation and submission, ensure accurate payment is made
Attend to Corporate queries and requests
Supervise respective Finance sections and ensure timely submission of all related reports and compliance to policy & procedures