Your responsibilities include:
- Handle the monthly group consolidation and annual statutory reporting, ensuring compliance with all aspects of statutory, tax and regulatory requirements in a timely manner
- Prepare the monthly consolidated management reports, provide variance analyses and commentaries
- Coordinate & prepare annual budgets and periodic forecasts of consolidated financial results for the business
- Oversee the closing of the monthly management accounts and reviewing of payments of the corporate headquarters and Singapore entities
- Liaise with external auditors and tax agents, handle the year-end statutory audit and tax filing including XBRL filing
- Assist in the preparation of annual budgets and cash flow forecasts
- Work on M&A activities, provide support on financial analysis and due diligence
What you will need:
- A Degree in Accounting, and at least 5 years of relevant experience
- Strong technical knowledge especially in IFRS and consolidation of group accounts
- Highly analytical and detail-oriented
- Able to multi-task, prioritize assignments and work under challenging deadlines
- Strong team-working, communication and interpersonal skills. Able to build good working relationships with business stakeholders