Maintain and update general ledger accounts
Prepare monthly, quarterly, and yearly financial statements
Record and reconcile daily accounting transactions
Maintain accounts payable and accounts receivable ledgers
Perform bank and account reconciliations
Manage payroll processing and employee expenses
Monitor cash flow, expenses, and budget allocations
Assist in internal and external audits
Prepare and maintain financial reports and documentation
Ensure compliance with accounting policies and financial regulations
Support management with financial analysis and planning
Coordinate with auditor to annual return submission to IRAS.