1. Oversea Full Set of Accounts, AP, AR & GL. 2. Preparation of Profit and Loss Statement, Balance Sheet and Statement of Cash Flows. 3. Quarterly GST filing. 4. Analysis and preparation of monthly management reports. 5. Journal vouchers, accruals, General Ledger reconciliations, and numerous analysis, including P&L variance, inter-company accounts, and ageing. 6. Responsible for the monthly closure of books of accounts. 7. Analysis and review of Debtors and Creditors. 8. Maintenance of Fixed Asset Register and calculation of Depreciation. 9. Work with internal and external auditors during reviews and audits to ensure full cooperation from accounting staff and compliance with all qualified requests. 10. Liaise with Company Secretary & Auditor on ACRA & Tax Matters. 11. Provide all Accounting Software (MYOB) support to staff.