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- Maintain full set of accounts and management reports for different entities.
- Engage with forecasting and budgeting.
- Prepare monthly journals, schedules and bank reconciliation.
- Monitor loan covenant with different banks.
- In-charge of cash flow management.
- Prepare financial reporting to related partners - monthly, quarterly and yearly basis.
- GST preparation and submission.
- Handle year-end closing and Financial Reporting.
- Liaise with company secretary, tax agent, auditor and bankers etc.
- Assist with setting up & striking off company with company secretary.
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