Assist Management in planning the company's long-term development and business strategy, and help organize the annual work plan and budget, including cost control.
Handle the company's daily accounting work, financial reports, performance analysis, tax matters, and audits, ensuring accuracy and compliance with company and regulatory requirements.
Responsible for the implementation and supervision of the company's daily cash and fund operations, ensuring fund safety and efficient use of funds.
Support and monitor the company's credit risk and market risk management.
Responsible for the establishment, implementation, and continuous improvement of management policies and procedures related to finance, treasury, credit risk, and budgeting functions, and for exercising effective internal control over the company's business operations.
Assist in the implementation of finance, treasury, and risk management projects and related system development initiatives for HQ and the Singapore office.
Carry out other tasks assigned by the company.
Requirements:
Over 10 years of experience in financial management, preferably with experience in managerial-level or above roles within the finance departments of la degree preferred, in Finance, Accounting, Taxation, or related fields
Strong organizational and leadership skills
Excellent communication, interpersonal, and presentation skills
Proven at least 2 years of team management experience in finance and accounting functions.