- Work closely with the Finance team to prepare monthly balance sheet reconciliations, statutory financial reports, daily accounting transactions,
- Drive development in business process and procedures to drive efficiency and mitigate business risk
- Manage corporate card expenditure receipts, reconciliations and import template
- Prepare regular and ad-hoc payment runs
- Ensure compliance with latest accounting and taxation standards
- Liaise with external auditors
- Perform any other duties or responsibilities that are assigned from time to time