Oversee daily finance operation and internal control process of Group.
Prepare and manage group consolidation monthly, quarterly and annual financial statements of the Group for management reporting including variance analysis and commentary.
Prepare and deliver supporting materials as necessary for Board meetings, financial statements and audit and regulatory requests.
Responsible for all quarterly financial results announcements and management reporting to the Board.
Provide support on the production of IR materials and quarterly reports for announcement and investors.
Responsible for annual tax filing, semi-annual tax computations, manage and liaison with the tax agents on tax- related matters.
Review procedures and processes to meet corporate governance, internal control requirements, accounting standards and relevant rules and regulations.
Supervise and review the work of the finance staff and outsourced providers.
Any other matters as may be assigned.
Requirements
Degree in Accountancy, Finance or ACCA
Min 5 years of relevant working experience
Good technical skills in financing reporting, modelling and financial analysis
Self-directed, hands-on, motivated with high degree of commitment to meeting deadlines, targets and objectives
Strong analytical and problem-solving skills
Proficient in spoken and written English, with the ability to communicate clearly and professionally
Collaborative team player who can build relationships cross-functionally and contribute to team's goals
Candidates with tax knowledge and relevant experience in Southeast Asian countries will have an advantage
Candidates can accept business trips to Southeast Asian countries have an advantage