Hong Kong SAR
Handle full set of accounts and prepare group consolidation, daily journal entries, result announcement and interim/annual reports Prepare and monitored monthly and annual FRR in compliance with the SFO Deliver budget and forecast analysis in order to provide a better insight of business performance for senior management Prepare monthly treasury reports and various detailed analysis Manage banking facility including loan compliance and interest reserve monitoring Handle bank account management including account opening, KYC matters and payment functions
Handled full set of accounts and prepared daily journal entries, result announcement and interim/annual reports Prepared tax computation, tax filing documents and handled the query letter from the tax authority Reviewed regional and local transfer pricing documentation reports and Country‐ by‐Country reporting (CbCr) documentation Assisted in bond issuance projects including due diligence, pricing and allocation
Handled and coordinated audit engagement of listed company, multinational corporation and private company Reviewed and advised clients to maintain an effective internal control mechanism in management and financial reporting Coached junior accountants