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About the Role
- Handle full set of accounts, including AP, AR, GL, bank reconciliation.
- Prepare monthly financial statements and management reports.
- Ensure timely submission of SST and other statutory requirements.
- Coordinate with auditors, tax agents, and company secretary.
- Maintain accurate records and proper documentation.
- Follow up and chase payment from customers, ensuring timely collection of outstanding debts.
- Monitor and manage the company's cash flow, including forecasting and ...
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