• To responsible monthly financial consolidation activities with reconciliation of subsidiaries accounts and prepare complex account reconciliations.
• To prepare financial statements and disclosures (Consolidated and company financial statements).
• To coordinate and complete annual audit and interim audit at company group.
• To verify and analyze accounting data and prepare financial reports for management.
• To understand and generate general ledger and be able to use and modify accounting entries.
• To respond and resolve all internal and external inquires in timely manner.