Roles and Responsibilities:
- Prepare and report on budgets, forecast and management including sales, profit, and inventory based on HQ Korea’s reporting templates, on a daily, weekly, monthly, quarterly, and yearly basis. Including Yearly Business Plan.
- Analyse financial performance in comparison to budgets and forecasts
- Prepare and maintain daily cash flow reports.
- Perform pre-closing checks and generate sales-related reports.
- Prepare Bank loan requisition form
- Process and manage employee payroll.
- Provide backup support for the local accountant.
- Assist with auditing processes.
- Liaise with the HQ financial team to ensure alignment and accurate reporting.
- Ad hoc duties assigned by Management
Required / Preferred Experience and Qualifications:
- Bachelor’s Degree in Accounting/Finance or equivalent
- Proficient Korean language knowledge is mandatory to liaise with the Korean stakeholders in Anseong, Korea
- Minimum 3 years of experience in consolidation and business reporting or relevant field
- Proficient with the Microsoft Office (Power Point, Excel) skills.
- Meticulous, analytical and self-motivated team player
- Responsible, resourceful and able to work independently