1. Responsible for day-to-day ledger preparation ensuring accuracy, timeliness and compliance with regulatory standards. 2. Prepare financial statements in compliance with regulatory requirements, ensuring adherence to China Accounting Standards (CAS) and timely submission. 3. Assist in preparation of solvency reports as required by regulatory authorities. 4. Assist in the preparation and management of the annual budget, tracking budget performance and conducting variance analysis. 5. Monitor cash position, provide monthly cash forecast and monitor cash position. 6. Handle tax filing and declaration to ensure compliance with Chinese tax laws and regulations. 7. Assist in internal and external audits. 8. Assist business departments with financial needs, delivering timely and accurate financial information.