Responsibilities
- To support
the timely closing of monthly accounts and generation of financial statements /reports/schedules
within the target time schedule set by the Management and set under the reporting
section’s KPI.
- To
assist in ensuring the financial statements are prepared in accordance with the
latest applicable accounting standards, JGAAP, RBC framework and other
modifications by BNM.
- To support
the preparations of all submissions and reports (including the public display
of the annual audited and interim financial statements) made to the relevant
authorities and holding company within the given timeline and in the required formats.
- To perform
analyses of Company’s financial results establishing fluctuations and
justifications vis-à-vis historical trends, business plan/budget and industry
benchmark.
- To perform
monthly reconciliations of subsidiary and general ledger and any reconciling
item is investigated and dealt with promptly