• Manage the company monthly payables and receivables transactions. • Responsible for the accounting cycle (cash receipts, general ledger. revenue and expenditure variance analysis. • Monthly and yearly taxes calculation and reconcile and prepare tax forms submission. • Handle the internal & external auditor’s comments and requests. • Responsible for implementing accounting system • Responsible for prepare and train good accounting team. • Oversee the flow of cash and financial instruments • Prepare financial and regulatory reports required by laws, regulations, and boards of directors • Evaluate financial data affecting to costs to plan budgets. • Evaluate financial reporting systems, accounting and collection procedures, and investment activities and make recommendations for changes to procedures, operating systems, budgets, and other financial control functions. |