Bookkeeping and accounting
- Data entry and administrative recording of accounting and financial transactions
- Maintenance, organisation, and proper filing of accounting records and source documents
- Accurate recording of transactions in compliance with applicable accounting standards and internal procedures
Management reporting
- General ledger, accounts receivable, and accounts payable management
- Bank, cash, and balance sheet reconciliations
- Preparation of periodic management accounts
- Management reports tailored to business and operational needs
- Financial performance analysis and variance reporting
- Cash flow monitoring and budgeting support
Coordination and support for audit and tax engagements
- Preparation of a full set of financial statements in compliance with applicable accounting standards
- Financial and statutory reporting in accordance with regulatory requirements
- Coordination and support for audit engagements
- Liaison with auditors, tax agents, and relevant stakeholders
Group and consolidation accounting
- Preparation of consolidation workings, including reconciliation of intercompany balances, elimination of intercompany transactions, and consolidation adjustments
- Preparation and finalisation of group and consolidated financial statements in accordance with applicable accounting standards
Review, finalisation and reconstruction of accounts
- Identification and rectification of accounting errors, misclassifications, and inconsistencies
- Review, reconciliation, rectification, and reorganisation of historical accounting records
- Reconstruction and restoration of incomplete or inaccurate accounting records and financial statements
Outsourced finance function
- Outsourced accounting and finance support for all or part of the finance function (on-site or off-site)
- Accounting staff secondment
- Review of accounts prepared internally by in-house finance teams, with advisory support on accounting treatments and financial processes

