Responsibilities
You will play a key role with responsibilities in financial analysis and reporting, cost and credit control, payment and tax operations, cashflow management, budgeting and forecasting.
Business Planning and Management Reporting
- Prepare and communicate regular management reports to business stakeholders that present clearly business performance against budget targets, variance analysis and identify key areas
- Analyse and report on the organization’s financial health conditions, and other financial indicators to forecast it's short, medium, and long-term cash flow position
- Ensure strong finance and corporate governance processes are implemented within the organisation
Project Control
- Provide support to Project Director to manage project performance; including to ensure that project costs are well-managed and any anticipated cost overruns are addressed promptly
Financial reporting and Tax compliance
- Coordinate the preparation of statutory financial reports and submission of regulatory reports and filings, through shared service provider
- Ensure that tax returns, reports and required declarations are submitted on time and in compliance with applicable laws and regulations
Operation finance
- Manage payment and internal approval processes, including payables, bank remittances, monitor banking covenants, banking KYCs, hedging/swap transactions, with adherence to group corporate control parameters to ensure satisfactory standards of reporting
Requirements
- At least 5 years of relevant work experience; preferably with Big 4 accounting firms and major real estate/property groups
- Analytical, good business sense with a keen eye for details and a good communicator;
- Strong sense of business integrity
- Proficient in excel and SAP system
- Must be a team player and able to work across multi-cultural/multi-functional teams
- An accounting/ finance-related degree from a reputable university
Interested candidates can submit your cv to [email protected]