- Responsible for budgeting, financial planning including cash flow management and analysis of the financial performance of a group of companies
- Prepare and ensure timely and accurate monthly consolidated financial statements and accounts schedules
- Support Investment and Asset Managers in timely reporting to Management and Investors
- Liaise with external and internal auditors, tax agents and lawyers to support audit, tax and other statutory requirements
- Establish collaborative business partnering relationship and lead the team in improving existing policies and processes and transform it through the active adoption of digital tools for better efficiency and costs savings
- Any other duties assigned