Financial Reporting & Closing: Manage the full accounting cycle, including maintaining the accounting system and handling monthly financial closing and reporting for subsidiaries.
Cash Flow & Payment Management: Facilitate all company payments (online, cheque, TT) and monitor accounts receivable to ensure timely credit collections.
Tax & Statutory Compliance: Prepare and submit SST returns, manage e-invoicing processes, and ensure timely submission of yearly statutory filings.
Payroll & Documentation: Administer monthly payroll and handle the preparation, issuance, and reconciliation of debit and credit notes.
Strategic Support: Execute specialized tasks and ad-hoc assignments as directed by the Chief Financial Officer (CFO).