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Responsibilities
. Liaise with bank, internal & external auditor, company secretary, tax agent
. Coordinate Annual External Auditing, Annual Filling and Tax submission
. Build good relationship with banks and dealing with bank facilities, Standby Letter of Credit and LC.
. Cash flow management
. Prepares budget, estimate and forecasts
. In charge of month-end and yearly closing and compile sub-consolidation report
. Liaise with HQ for cash planning, financial reports, Parent Company Guarantee, and credit support for bank facilities
Requirements
. Degree in Finance/Accountancy or related field with at least 5 years experience, preferably in construction
. Proficient in both English and Mandarin orally and written to liaise with Mandarin speaking counterparts
. Well-versed in Microsoft Office software, e.g. Word, Excel, PowerPoint
Date Posted: 29/09/2025
Job ID: 127627453