NIPPON ENERGY & SERVICES K LTD
March 2019 - March 2022ACCOUNTANT
Compiling and presenting periodical financial reports, including the profit and loss statements.
Developing financial statements for account reconciliations, account receivables, account payables and revenue expenditure.
Examining bank statements and reconciling them with general ledger entries.
Preparing necessary documentation for annual financial audits in collaboration with external auditors.
Coordinating stock reconciliation across all SKU, managing dispatch, and directing intergroup stock movements.
Monitoring account receivables and payable activities.
Conducting tax reporting, filing, and remitting taxes and other financial obligations.
Directing the preparation of the annual budget, forecast and projections.