Job Description:
This role works closely with the CFO on budgeting and financial planning.
- Recommend actions by analysing and interpreting data and making comparative analyses, studying proposed changes in methods and materials.
- Improves financial status by analysing results; supervising variances; identifying trends; recommending actions to management.
- Conduct financial analysis to influence business decisions & strategies to drive long-term value creation.
- Champion productivity via cost analysis process by recommending actions to address optimisation opportunities.
- Reconciles transactions by comparing and correcting data to ensure accurate accounting and financial reporting.
- Analyse and provide insights on the financial performance of the company and the Group.
- Develop and manage the company annual budget and financial forecast to ensure alignment with strategic goals and objectives
- Coordinate and effectively deal with internal and external auditors for annual statutory/regulatory audits.
- Review and ensure compliance with tax regulations including corporation tax, income tax, GST and other relevant taxes. Coordinate with tax advisors to optimise tax strategies and minimise tax liabilities.
- Increases efficiency by developing or implementing automated solutions & processes.
- Undertake special assignments, ad-hoc functions and related duties as and when required
Requirements:
- A Bachelor's degree in Accounting or Finance
- 7 years of experience in accounting/finance/audit.
- Maturity, integrity, and high level of discretion are required.
- Independent worker and analytical problem solver with an ability to conduct research, data analysis and resolve sophisticated problems.
- Strong presence with the ability to interact with Senior Leadership.
- Financial modelling expertise a plus.
Do note that we will only be in touch if your application is shortlisted.