Requirements:
- Must have Degree in Chartered Accountant from well accepted universities.
- At least 3 years of Financial Planning and Analysis experience preferred
- Proficient in Microsoft Excel
- Good knowledge of consolidation accounts
- Equip with IT skills and able to automate the reporting process
- Proficiency in accounting software such as Microsoft Dynamics and SAP.
- Strong technical and analytical capabilities, be able to work independently with minimum supervision
- Excellent organization & problem solving skills
Job Description:
- Preparation and closing of monthly, quarterly, and annual financial statements, consolidation reports, analysis, and management reports.
- Prepare and evaluate the financial performance of a company and provide suggestions and recommendations based on the financial reports prepared to improve financial performance
- Responsible for treasury functions such as monitoring of cash balances at each legal entity & processing of payments & receipts.
- Prepare monthly forecast reports and analysis
- Assist in the preparation of the yearly Budget
- Liaise with external & internal auditors.
- Work closely with the in-house legal team and corporate secretary to ensure timely & accurate preparation & filing of legal documents.
- Consult with management to guide and influence long term and strategic decision making within the broadest scope
- Participate in multiple projects, and handle ad hoc duties as & when required.
- Ensure adherence to internal controls & procedures.
- Manage & prioritize tasks, problem solve issues & work efficiently with other departments & business entities.