Job Description
Finance Manager
- Financial Planning & Budget Management
- Develop annual budgets and long-term financial plans
- Collaborate with various departments on budgeting, tracking, and adjustments
- Provide financial forecasts and analysis to support management decisions
- Financial Reporting & Accounting Management
- Oversee accounting processes: bookkeeping, closing, financial reporting
- Produce regular financial statements (P&L, balance sheet, cash flow statements)
- Ensure accuracy and compliance of financial data
- Cash Flow & Treasury Management
- Monitor cash flow, bank relationships, and fund allocation
- Manage accounts receivable and payable to maintain healthy cash cycles
- Plan financial strategies to avoid liquidity gaps
- Risk Management & Internal Controls
- Establish and maintain internal control systems
- Conduct cost analysis and risk assessments
- Ensure compliance with tax regulations, laws, and financial policies
- Tax Planning & Filing
- Supervise tax filing, deferred tax, and tax planning
- Coordinate with auditors, tax authorities, and external consultants
- Minimize tax risks and optimize tax efficiency
- Decision Support for Management
- Provide financial analysis (ROE, ROI, gross margin, cost structure, etc.)
- Evaluate investment proposals, M&A deals, and major projects
- Assist in forming operational and strategic plans
- Team Management & Process Optimization
- Lead finance and accounting teams (accountants, cashiers, analysts, etc.)
- Optimize financial workflows, automate reports, implement ERP/BI tools
- Enhance team capability and operational efficiency
Monday to Friday 9.00am to 6.00 pm with alternate Saturday(Full Day).