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Job Responsibilities
. Consolidate financial reports for management and statutory reports on a monthly, quarterly and yearly basis.
. Participate in annual budgetary exercise.
. Perform risk-based audits of business processes on the areas of financial, operations and compliances.
. Manage treasury activities in FX management, bank account management, cash and liquidity management and intercompany funding based on group treasury policies.
. Review and analyse cash positions and cash flow forecasts to ensure an optimal level of cash in each entity.
. Provide supports to directors and managers in relations to ad hoc projects and initiatives.
. Work with respective division and directors in long-term strategy formation, revenue budget setting process, funding request and the identification of new opportunities for the business.
. Familiar with financial software,such as Accpac-Sage 300 etc.
Job Requirements
. LCCI or diploma in Accountancy or any equivalent qualification.
. Minimum 3 years of relevant working experiences.
. Audit experience preferred.
. Proficient in Microsoft Office Application.
. Inquisitive, meticulous, good time management, possess good logical, analytical and process flow skills.
. Able to work well in a team and adapt to a fast paced and dynamic environment.
. Full-time job only.
Date Posted: 11/09/2024
Job ID: 92449043