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The purpose of this role is to take care of all the important financial functions of an organization. The person in charge should maintain a far sightedness in order to ensure that the funds are utilized in the most efficient manner. He/she actions directly affect the profitability, growth and goodwill of the firm.
Task 1:
. Compilation and overseeing of the monthly, quarterly and annual reporting
. Commentaries or presentation on monthly numbers, give valuable input to senior management to understand the numbers better.
Task 2:
. Budget and Planning exercise- collate, consolidate, review annual budget/ rolling forecast. Presentation of budget to leadership team.
. Regular review of Actual vs plan, give insights to Management to take right decision
Task 3:
. Cash flow management, manage collection targets and Payable management.
. Continuous improvement of process flow, internal control
. Day to day operations management, actively look for opex savings and opex control
. Ensure indirect tax compliance - GST and withholding tax computation and submission
Task 4:
. Compilation and submission of external reporting such as statutory accounts and tax computation per that statutory requirement with timeliness and accuracy. Liaise with Auditors and Tax and Legal advisors.
Task 5:
. Team Management. Provide appropriate guidance, coaching, development and motivation to ensure staff become engaged, independent, committed and self driven.
Task 6:
. Other duties / project as assigned
Date Posted: 05/05/2025
Job ID: 111222427