• Preparing and responsible for all tax matters including VAT, SSCL, WHT, IT, Payee and Tax Return submission on time and all correspondence with Inland Revenue Department
• Supervision and responsible for petty cash, bank accounts transactions, bank reconciliation and other correspondence with the bank
• Coordinate with auditors for finalization of annual audit report of the group.
• Supervision and responsible of Salaries and wages preparation, EPF, ETF and other administrative works