- Supervise and maintain operational standards of the accounting and finance team in alignment with the company's policies.
- Prepare monthly and annual financial statements along with relevant supporting documents in compliance with accounting standards.
- Prepare annual revenue and expenditure forecasts for budgeting purposes, and collaborate with management to analyze financial data for strategic planning and to align accounting and financial policies with the company’s overall objectives.
- Review and approve accounting documents such as payment and receipt vouchers, ensuring the accuracy of tax invoices and related financial documents.
- Approve and sign monthly and annual tax filings in accordance with the Revenue Department regulations.
- Manage and maintain important financial and legal documents, including contracts that impact financial reporting and compliance.
- Oversee and control the company’s cash inflows and outflows, including verifying supporting documents for payment disbursements in accordance with internal policies.
- Coordinate with auditors, executives, government authorities, and other relevant parties regarding financial and accounting matters.
- Verify and record depreciation of the company’s assets accurately in accordance with accounting principles.
- Establish and maintain an internal control system that adheres to principles of good corporate governance, ensuring transparency and accountability.
- Perform other duties as assigned by supervisors in a timely and appropriate manner.