Job Description
- Manage financial analysis, budgeting and forecasting activities;
- Provide insights and recommendations on opportunities for revenue growth, cost optimization, and profitability enhancement;
- Monitor and analyse key metrics to provide insights and recommendations for improving financial performance;
- Monitor the performance and analyse trends to reduce financial risks associated with investment or spending decisions;
- Lead and manage finance team to ensure smooth daily operations;
- Liaise with and support cross-functional departments in their day-to-day operations;
- Refine financial processes within the Group; monitor and implement proper policies, procedures, financial controls to safeguard assets and optimize operational efficiency;
- Maintain accurate and timely financial closing for all entities within the Group.
- Manage group related accounting matters to ensure compliance with accounting standards and regulatory requirements;
- Managing financial reporting, including monthly, quarterly, and annual financial statements and review business performance;
- Manage quarterly GST reporting and corporate income tax;
- Support and facilitate on-going business expansion and decision-making process;
- Handle ad-hoc and miscellaneous tasks as assigned.
Requirements
- Bachelor degree in Accounting & Finance or relevant qualification with at least 5 years of relevant experience;
- Strong financial analysis and communication skills;
- Proficient in MS Office;
- Critical thinking, communication and presentation skills;
- Ability to manage multiple projects and deadlines simultaneously;
- Capacity to read and comprehend large amounts of information quickly;
- Confidentiality and discretion;
- Adept at analysing data and information and recognizing patterns to build financial forecasting models;
- Strategic decision making;
- Hands-on experience in financial closing and reporting;
- Strong problem-solving and analytical skills;
- Good team player, responsible, committed and able to work independently;