- Responsible for the review of monthly financial statements;
- Prepare consolidated financial statements and management reports, and perform analytical review;
- Manage Group budget and forecast preparation, including cash flow management and financial analysis;
- Prepare cash flow forecast, manage cash flow and working capital and ensure optimal returns on cash;
- Participate in the preparation of statutory accounts, including notes to financial statements;
- Ensure compliance with all relevant accounting standards, corporate guidelines and other regulatory and legal requirements;
- Coordinate and liaise with external auditors;
- Work closely with the finance team to ensure effective day-to-day operation of overall accounting and financial functions;
- Formulate and enforce continuous improvement on financial and operations internal controls, policies and procedures;
- Participate and undertake ad-hoc assignments as directed by the management from time to time.