Job Purpose
- Provide support to the management in analyzing project financial results to enable the management to make accurate and informed business decisions.
- To ensure company accounts are kept in an accurate manner and comply with the accounting standards so as to provide accurate financial data for business decisions
- Manage the taxation, budgeting, other financial matters and internal control system of clients in charged.
Job Roles & Responsibilities
Financial
- Responsible for monthly financial statement to be prepared accurately and on timely manner
- Responsible for monthly PDM reporting
- Review monthly reconciliations including timely clearance of reconciling items and general accounting process
Taxation
- Responsible for timely and accurate submission of corporate tax and indirect tax (including GST/SST/etc)
Budget/Forecast
- Responsible for reviewing the annual budget plan / forecast to be set as the measurement tool against current achievement to enhance quality of decision making
Audit
- Liaise with auditor and responsible for reviewing of statutory accounts in accordance to MFRS
Treasury and Cash Flow
- Review the cash flow projections during the annual budget preparation and ensure continuous monitoring & updates of cash flow projections
Internal Control
- Ensure financial transactions are performed within the Group policies and procedures and recommended area of improvement.
Education/ Professional Qualification
- Degree in Accounting, Finance or related discipline; professional certification (eg. CPA, CMA) preferred.
- Minimum 5-7 years of relevant experience.
- Strong knowledge of accounting standards, financial regulations and best practices
- Proficiency in financial software and ERP systems
- Excellent analytical, problem-solving and organizational skills.