Manager - Accounting / Financial Reporting

7 months ago 21 Applied
Job Description

Key Responsibilities

  • Handle a full spectrum of accouting and financial functions.
  • Manage day to day accounts and finance operations.
  • Perform full set of accounts, ensure the accuracy of all accounting transactions and timely closing of monthly accounts.
  • Check and verify all business transaction records and ensure source documents are in order.
  • Perform cash flow forecasting,, cost tracking and monitoring, budgeting and control, and working closely.
  • Perform monthly, quarterly and yearly financial and ratio analysis and commentary.
  • Responsible for monthly and quarterly financial statements, payments and cash-flow management reporting in a timely manner.
  • Liaise with auditors, tax agent, bankers and company secretary to ensure all matters relating to audit, tax, banking and statutory requirements are complied.
  • Review and maintain internal control and effective accounting system and policies.
  • Respond to management for any financial and accounting queries in a timely, clear and concise manner.
  • Ensure strict compliance with all applicable statutory and regulatory requirements in the accounting process and reporting.
  • Maintain proper accounting documentation and records and confidentiality of company information and records.
  • Analyze the past and present performance of the group against last year, budget, normalized budget and rolling forecast.
  • Manage the reconcilation of the relevant systems to ensure the balance and that any discrepancies or variations are investigated and corrected.
  • Regularly track and resolve outstanding issues that have been escalated, or further escalate to the necessary parties.
  • Perform all other accounts and finance related tasks and ad-hoc assignments as and when requested by the Management.

Job Requirements

  • A qualified accountant from establised universities and possess professional qualifications such as MICPA, ACCA, CIMA, ICAEW etc.
  • Five (5) years of commercial experience in full set accounts, finance,, cash flow management and monthly management reporting.
  • Good in cost analysis, budgeting and forecast.
  • Creative, logical thinker, resilient, problem solver, meticulous, result-oriented and able to work independently.
  • Pleasant personality with positive work attitude and commitment to meet deadlines consistently.
  • Strong organizational skills, ability to drive efficiencies, result driven individual who leads and promotes best practice.
  • Experience in ERP accounting system, preferably Oracle.





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