Responsibilities
- Able to developing and implement financial policies and procedures to ensure compliance with accounting standards and requirements from HQ
- Managing the company's financial reporting, budgeting, and forecasting processes
- Providing financial analysis and recommendations to the executive team to support strategic decision-making
- Hands on the annual budget planning process, prepare the budget for submission, variance analysis on budget versus actual, continuous update on forecast as well as providing comparison between budget / forecast and actual performance.
- To oversee the company's cash management, including forecasting and managing cash flow
- Managing relationships with external agencies, including banks, auditors, and investors
- Reviewing clients and vendor contracts and transfer pricing documentation
- Overseeing all corporate secretarial matters to ensure in alignment with corporate governance and regulatory requirements in both local and overseas entities
- 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.
- Assist in HR and Administrative matter in the areas of Recruitment, submission of MOM surveys and organising company’s events.
- Any adhoc duties as assigned by Management Team
Requirements
- Bachelor’s degree in Finance/Accounting with ACCA/CPA qualifications
- At least 10 years of experience in a similar role
- Familiar with reviewing and negotiating business contracts
- Solid understanding of accounting principles, financial regulations and reporting standards
- Experienced with financial systems implementation and process improvement
- Excellent analytical and problem solving skills
- Able to work under pressure and results-oriented
We regret to inform that only shortlisted candidates will be notified.