Job Description
- Managing and overseeing financial reporting: Ensure accurate and timely preparation of monthly and annual financial reports.
- Budgeting and variance analysis: Develop annual budgets, monitor actual performance against budgets, analyze and report on budget variances, and provide support for decision-making based on budget targets.
- Financing and cash flow management: Develop strategic plans for financing, and forecast and optimize cash flow.
- Tax management: Develop tax planning strategies in compliance with legal requirements, manage tax filings, transfer pricing documentation.
- Team management: Provide leadership and support to the finance and accounting team, set priorities, evaluate and improve team performance, and mentor and develop team members.
Requirements
- Deep and extensive knowledge of oil & gas industry
- Minimum 3 years of working experience in charge of accounting and financial matters in oil refinery for the listed oil & gas companies
- Minimum 6years of working experience in charge of budget control and analysis in finance & accounting section for the listed oil & gas companies
- Master Degree holders and/or above qualification of Economics, Finance, or Management
- Proficiency in Japanese and English languages required to handle financial documents written in Japanese & English and for daily communications with colleagues and stakeholders in headquarters