General Ledger accounts Petty cash control and reconciliation Bad debt control and disbursements Full creditors contracts and renewals VAT reconciliation and control and e-filing submission Process on ProSoft CRM
Accounting and Reporting: Support and review entity controllers on proper booking of tax entries, including preparation external advisors dealing with outsourced tax returns Control of direct/indirect tax compliance process Monitor Contribute to further development of the Group tax control framework Continuously looking for improvements and drive improvement projects, setting up new control / measurement systems to manage overall tax compliance
Accounting and Reporting: Support and review entity controllers on proper booking of tax entries, including preparation external advisors dealing with outsourced tax returns Control of direct/indirect tax compliance process Monitor Contribute to further development of the Group tax control framework Continuously looking for improvements and drive improvement projects, setting up new control / measurement systems to manage overall tax compliance
Accounting and Reporting: Support and review entity controllers on proper booking of tax entries, including preparation external advisors dealing with outsourced tax returns Control of direct/indirect tax compliance process Monitor Contribute to further development of the Group tax control framework Continuously looking for improvements and drive improvement projects, setting up new control / measurement systems to manage overall tax compliance
compliance with Companies Act, Trust Property Control Act, FICA, FATCA/CRS, etc. as relevant; Review Knowledge of the Companies Act, Trust Property Control Act, FICA, FATCA/CRS, etc; Knowledge of Corporate
compliance with Companies Act, Trust Property Control Act, FICA, FATCA/CRS, etc. as relevant; Review Knowledge of the Companies Act, Trust Property Control Act, FICA, FATCA/CRS, etc; Knowledge of Corporate
evaluate financial statements Assess internal controls and identify areas of improvement Provide recommendations
is completed Ensure compliance with policies, controls and other relevant guidelines Ensure suppliers
is completed Ensure compliance with policies, controls and other relevant guidelines Ensure suppliers
accounts, and reviewing 3-way matching for accuracy Control and reconcile petty cash for Head Office and branch