Job Responsibilities:
- Prepare and update of weekly/monthly group financial and treasury reports.
- Assist in group consolidation of entities using SAP/EPM.
- Prepare monthly reporting packages for parent company and respond to any ad-hoc financial information request.
- Support treasury and banking matters (e.g. assist in preparation of bank letters/documents, assist in preparation of loan drawdown notices, request quotations for interest rates from banks, apply and monitor banker’s guarantee etc)
- Circulate documents for signatures and arrange logistics for documents.
- Establish SOPs and upkeep of financial policies.
- Support system implementation/enhancements.
- Any other ad-hoc duties as and when assigned.
Job Requirements:
- Degree in Accountancy or equivalent, with at least 3 years’ relevant experience.
- Candidates with a Diploma in Accountancy or equivalent, with 7 years’ relevant experience may also be considered.
- Hands-on experience using SAP will be an added advantage.
- Proficient in MS Office applications (Excel, Word, Powerpoint).
- Good communication, interpersonal and writing skills.
- Able to work in a fast and dynamic environment.
- Able to work effectively under pressure to meet tight deadlines.
- Proactive, analytical, meticulous and well organised.