Job Summary
You will lead month-end closing and financial reporting, manage credit control, coordinate with internal and external parties, and support budgeting and tax processes to ensure accurate financial operations and compliance.
Responsibilities
- Deliver timely and accurate month-end closing and financial reports to management
- Prepare and finalize monthly and annual financial statements, including balance sheets and audit schedules
- Manage credit control processes to optimize cash flow and reduce risk
- Coordinate with internal teams and external parties to support operations and intercompany activities
- Prepare corporate tax computations and liaise with tax agents during year-end processes
- Collaborate with external auditors, tax agents, corporate secretarial agents, and government authorities as required
- Maintain and improve accounting controls by recommending policies and procedures to enhance efficiency
- Support budgeting exercises by providing financial data and analysis
- Assist in ad-hoc projects and tasks as assigned
Preferred competencies and qualifications
- Minimum 5 years of relevant experience in the F&B or retail industry.
- Knowledge of Netsuite system and Power BI is highly preferred.
- Strong knowledge of Financial Reporting Standards and taxation.
- Demonstrated ability to work independently with confidence and drive.
- Meticulous, organized, and proactive in managing tasks within a fast-paced environment.
- Good analytical, communication, and interpersonal skills.
- Availability to join immediately or on short notice is preferred.