Job Description:
- Handle full set of accounts, including AP, AR, Fixed assets, GL, banking transactions and timely preparation of monthly financials schedules and statistics for the management and the Board’s review.
- Support the full cycle of the internal and external audit.
- Prepare the yearly budget, mid-year budget review and monitor actual expenditure against budget.
- Prepare and submit GST returns and any other statutory filing as and when required.
- Cashflow management including investments accounting and reporting.
- Review and ensure compliance with Finance policies and procedures.
- Liaise with external and internal auditors, corporate secretarial agent, andother external parties such as financial institutions.
- Support Sub-committees and Board meetings, including presentation and writing of minutes.
- Participate in ad-hoc projects including process improvements.
- Adhere to Company's policies (including PDPA and staff-related) and procedures diligently, carry out duties in accordance with the specified service level and in good governance, observe client's information, confidentiality, and conduct oneself professionally when interacting with internal and external parties.
- Performing other duties as assigned to meet business needs
Requirements:
- ACCA/CPA or Diploma in Accounting/Finance/Commerce or equivalent
- Minimum 3 to 4 years relevant working experiences
- Able to work in a team and detailed oriented
- Strong interpersonal and communications skills to supervise Finance Executive(s)
- Advanced Microsoft Excel skills
- Strong understanding of IFRS and financial regulations
- Strong team player with an independent work ethic and strong drive to complete assigned tasks and projects