Responsibilities
- Responsible for Treasury Management in the areas of cashflow management activities, fund requirements and liquidity management
- Managing financial analysis, budgeting and forecasting activities
- Performing financial modelling and data analytics
- Perform in-depth analysis including analysing current and past financial data/ performance and identifying trends, understanding actual performance against budget, and communicating the insights of these analysis to the senior stakeholders
- Reviewing clients and vendor contracts and transfer pricing documentation
- Main point of contact and liaison with local and overseas external auditors and tax agents in relation to audit requirements, including preparation of audited financial statements and tax compliance matters.
- Overseeing all corporate secretarial matters to ensure in alignment with corporate governance and regulatory compliance in both local and overseas entities
- Ensure all accounting workflow, processes, and policies are in compliance with statutory guidelines and regulations.
- Act as change agent to implement changes to financial/accounting process and be involved in financial reporting systems improvement initiatives
Requirements
- Bachelor’s degree in Accounting/Finance or equivalent
- CPA/CA qualified
- A minimum of 10 years of experience in a similar role and capacity
- Prior experience in FP&A is preferred
- Experienced in managing multiple legal entities
- Familiar with reviewing and negotiating business contracts
- Strong business acumen and results-oriented
- Effective stakeholder management skills with the ability to build trusted relationships
- Excellent analytical skills and an eye for detail and accuracy
- Able to adapt well to dynamic environment
- Ability to work under pressure and tight timelines
We regret to inform that only shortlisted candidates will be notified.