Summary:
- Responsible for preparation and delivery of accurate and timely management reports
- Support financial close and reporting on timely basis
- Assist and support in preparation of budget, forecast and projections for Business Unit
- Cash management – manage vendor payments, monitor collections and intercompany distributions, fundings and settlement.
Key Responsibility Areas:
Management Accounting:
- Responsible for management reporting and financial analysis.
- Prepare and deliver accurate, insightful, and timely monthly management reports.
- Ensure compliance with company policies and limit of authority.
Financial Reporting:
- Work closely with Business Unit / Stakeholders to obtain necessary input for submission of revenue and costs accrual, impairment and provision for doubtful recovery etc on time for month-end closing purpose.
- Review reasonableness of basis of accrual.
- Review monthly P&L to ensure revenue and costs and expenses transactions are posted to the correct entity, profit/cost centers and GL codes.
- Review balance sheet schedules and advise finance/AP/AR of the required action in consultation with business unit.
- Involve in annual statutory audit – coordinate and compile information/clarification from audit.
Cash Management:
- Prepare vendor payment listing.
- Prepare sale order for purpose of invoice issuance.
- Monitoring and follow up with Business Unit on overdue and aged receivables.
- Prepare intercompany funding, settlement, repayment and distributions.
Budget, Forecast and Cash Flow:
- Review budget and forecast assumptions submitted by Business Unit and ensure the assumptions are realistic, reasonable and aligned with business plan and operations.
- Prepare Budget, Forecast and Projections in prescribed group reporting template based on assumptions submitted by BU and slides for clearance session.
Others:
- Ensure timely and accurate provision of information requested by stakeholder including external auditors, tax department, company secretary etc.
- Perform any other duties or ad hoc tasks as assigned by the superior.
Requirements:
- Degree in Accounting, Business or Finance and/or professional qualification.
- Minimum 2 to 5 years of working experience within a multinational organisation and/or public accounting firm.
- Self-starter with excellent interpersonal communication and problem-solving skills.
- Resulted oriented, and comfortable working independently in a fast-paced environment.
- Strong stakeholders management, leadership, and project management skills.
- Experience in MS Office and SAP and proficient in Microsoft Excel.