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Prepare management accounts, ensuring balance sheet reconciliations and accurate financial reporting.
Collaborate with senior management to analyze financial results and drive performance improvements. Oversee year-end closing, reconciliations, and submission of GST returns, grant applications, and tax returns to ensure compliance.
Lead budgeting and forecasting across China, Malaysia, and Batam, developing financial forecasts and cash flow projections for strategic planning.
Identify cost-saving opportunities and improve operational efficiency, providing cost analysis to optimize spending.
Enhance financial systems and reporting for greater efficiency, while ensuring compliance with accounting standards, tax regulations, and controls.
Support cash cycle management by optimizing creditors, debtors, and stock.
Provide senior management with key financial insights and analysis while collaborating with non-financial managers to enhance financial understanding and ensure alignment with company objectives during Townhall & Sales Meeting
Grant applications
Date Posted: 07/05/2025
Job ID: 111684237