Job Responsibilities:
- Prepare and present monthly and quarterly statutory financial reporting review and analysis
- Liaise with auditor, tax team and legal/company secretary team on timely statutory filing with government agency and meeting internal deadline for Group/entity reporting
- Provide support through annual audit process, including drafting and reviewing of entity and Group financial statements which apply local and International Financial Reporting Standards
- Ensure timely provision of financial information and business data to banking/treasury team for credit review, syndicated loan and bilateral facilities financing
- Involve, coordinate and provide guidance in Group consolidation tasks
- Review and analyse accounting data (entities and Group) and highlights issues for management review
- Manage and control Group and entities period end activities (including review data from entity level
- Assist in performing statutory to management reconciliation and identify and explain the reasons for adjustments
- Provide support to tax team for tax planning and tax budget for the Group/entity
- Assist and perform monthly book closing of entities within the Group
- Other ad-hoc assignment as and when assigned
Requirements:
- Degree in Accounting or of relevant disciplines
- Preferably 4-5 years’ experience in group consolidation, prior audit experience preferred
- 1-2 years commercial exposure in a similar role is an advantage, but not a must
- Candidate with experience in SAP would be an added advantage