- Provide monthly, quarterly and annual group management reports.
- Analyze group performance, variances and key financial indicators.
- Present consolidated results to management.
- Monitor Cashflow Budget, analyze actual vs budget and advise management on variances.
- Ensure group compliance with tax laws, SST/GST, and regulatory filings.
- Liase with tax agents, auditors, bankers and regulatory authorities.
- Act as key contact for group statutory audit.
- Monitor transfer pricing and cross-border compliance issues (if applicable).
- Develop and implement group financial policies and procedures.
- Strengthen internal controls.
- Drafted Tax Estimation for group companies.
Job Type: Full-time
Work Location: In person