Job Description
About PSA BDP:
PSA BDP, a member of the PSA Group, is a leading provider of globally integrated and port-centric supply chain, transportation, and logistics solutions. The company is headquartered in Philadelphia, PA, and employs more than 5,500 people worldwide.
We are a team that celebrates our unique diversity and close-knit community atmosphere. Our core values begin at the very top and span the broad reach of our global community.
We offer dynamic careers for those individuals looking to be a part of something bigger and provide unequivocal opportunities for growth within the organization.
PSA BDP serves over 5,000 customers, including some of the world's leading multinational companies within the chemical, retail & consumer, life sciences & pharmaceuticals, and electric vehicle & industrial verticals.
Key Responsibilities:
- Accurate and timely closing of monthly accounts
- Month end trading review reports (customer analysis, P&L variance analysis, KPI reporting)
- Preparing and reviewing monthly balance sheet reconciliations
- Month end reporting and data upload into Corporate Consolidation system
- Assist in the monthly/quarterly financial reviews with key stakeholders.
- Cash management - tracking cash inflows, managing the cash on hand, planning for and issuing payments to complete cash outflows.
- Credit control
- Intercompany transactions and reconciliations
- Maintaining a fixed assets register
- Manage the monthly forecasts and yearly budgeting process.
- Oversee day-to-day operations of the finance department and collaborate across functional teams, and collaboration and supervision of share centre.
- Liaise with external auditors, tax consultants, and government authorities as required.
- Facilitate the external audit review and ensuring unqualified certification of accounts.
- Review and ensure timely and accurate submission of local tax filing (Corporate Income Tax, and GST Returns) to the Tax Authority, in compliance with local tax laws, financial regulations, and company policies.
- Periodic review of business contracts and operations, to identify associated financial risks at the location level, and work with local management to implement controls to mitigate risk. Initiate regular internal self-audits to ensure adherence to financial controls.
- Ensure compliance in all legal/statutory requirements and in adherence to PSA BDP policies and ethical standards.
- Work closely with the Regional Finance on special projects or continuous improvement process
Job Requirements
Requirements:
- Degree in Accounting or Finance; CPA
- Minimum 3 to 5 years of relevant accounting and finance experience
- A combination of audit experience and in-house accounting experience is preferred
- Proficiency in Microsoft Office applications, with specific focus on MS Excel
- Knowledge of Microsoft Dynamic AX and/or Oracle will be an added advantage
- Strong interpersonal, written, and verbal communication skills
- Strong analytical and problem-solving experience
- Self-motivated and good organizational skills with the ability to prioritize and handle multiple projects.
- Meticulous and attention to details.