Are you an experienced finance professional who enjoys taking ownership, improving processes, and turning financial data into meaningful insights
We're looking for a Senior Accountant to join our team! In this role, you will take ownership of key finance and accounting activities, ensuring accurate and timely financial reporting while maintaining strong compliance with local statutory requirements and tesa policies. You will work closely with regional and local stakeholders across areas such as accounting, treasury, tax, audit, internal controls and financial analysis, while also identifying opportunities to improve and streamline existing processes.
If you're analytical, hands-on, detail-oriented and ready to take on a broad finance role environment, we'd love to hear from you!
Why You'll Love Working with Us:
- Innovative Environment: Be part of a forward-thinking company that values creativity and innovation.
- Career Growth: Enjoy ample opportunities for professional development and career advancement.
- Impactful Work: Make a significant impact in a rapidly growing market.
- Competitive Benefits: Receive a competitive salary and comprehensive benefits package.
Key Responsibilities:
General Accounting
- Ensure the accounting records are prepared and maintained in accordance with the company's accounting policies & process, country law and IFRS standards;
- Ensure timely; accurate and efficient bookkeeping process;
- Assist with the preparation of accounting schedules and management reports;
- Ensure the accounting records are prepared and maintained in accordance with the group's accounting policies, local GAAP and IFRS.
Accounts Receivables / Credit management
- Ensure efficient, safe and reliable Accounts Receivable process, which includes generation aging report, reconciliation of statements; credit blocks and releases; customer review and creation;
- Ensure compliance with credit management policy and authorization matrix.
Accounts Payables
- Ensure that the accounts payable transactions and accruals (including rep offices) are accounted for in accordance with the company policies and process, supported by the necessary documentation;
- Liaise with affiliates on monthly reconciliation, billing and other related matters.
Treasury
- Ensure timely and accurate accounting of incoming and outgoing cash flows;
- Plan and monitor the cash position of the company, ensuring sufficient cash to meet daily operations;
- Ensure liquid funds are managed efficiently;
- Ensure timely and accurate submission into TIS, including monthly CF and bank balance updating and Rolling Cash Flow Forecast;
- Assist the Regional Finance Director in arranging borrowing – intercompany and external bank and ensure that the necessary documentations are in place;
- Assist to process dividend payment to tesa SE and ensure that the necessary documentation is in place;
- Assist and support the Regional Finance Director on FX management / hedging.
Fixed Assets
- Provide interpretative assistance to the proper capitalization / expense of outlays and grouping of fixed assets by class as well as depreciation methodology for both IFRS and Local regulations.
Staff claims / intercompany billings / Payment processing
- Ensure all staff claims and Corporate Credit Card holders claims/recoveries are accounted for in accordance with the company policies and process, supported by the necessary documentation;
- Liaise with affiliates on monthly reconciliation, billings and other related matters;
- Ensure all payments are processed in a timely and accurate manner, supported by the necessary documentation.
Auditing & Tax
- Lead and support internal and external audit;
- Ensure timely and accurate local statutory reporting;
- Ensure GST/SST/VAT preparation is done, and quarterly returns are submitted timely and accurately;
- Reconcile VAT/SST/GST and Revenue report ensuring the accuracy of tax filing;
- Liaise and provide information / tax schedules to the external tax consultants;
- Review and check annual tax return / tax computation, ensuring timely and accurate submission;
- Ensure that all tax legal requirements are delivered;
- Liaise with Tax officer/ Consultant/ Internal and auditor for matters/audits/ad-hoc requirements.
Legal/ Company Sec
- Ensure compliance with both legal and tax requirements;
- Liaise with Corporate Secretary on corporate matters;
- Supervise and ensure timely submission and compliance with government bodies survey or statistical reports;
- Assist and Support the Regional Finance Director on company structures / tax and planning matters.
Governance/ Compliance/ Controls
- Ensure compliance with group's policies & procedures and local tax and statutory requirements;
- Review and ensure internal controls are in place and working effectively;
- Ensure necessary documentation and records are in place, according to group guidelines and local statutory requirements;
- Oversee, liaise and manage the internal and external audit process and tax query;
- Performed Risk Control Matrix assessment and filing.
Budgeting/ Forecasting
- Provide accounting details and answer to the Regional Finance Director;
- TREX and CIS input.
Controlling
Assist and support controlling activities, including but not limited to:
- SCM controlling, logistic cost
- WOC / Working capital file
- Sale and Gross Margin analysis and investigation
- Costing of local converting and local subcontracting NARTs
Systems / Process Owner
- Key user and Process Owner for finance and accounting processes/procedures;
- Review, identify areas of optimization and optimize existing processes;
- Harmonize processes where possible by leveraging AI and digital tools to drive efficiency, automation and continuous improvement within finance processes.
Others
- Assist to liaise with authorities with regards to other legal requirements / submissions.
Ad hoc
- Provide financial analysis and project support for Projects / initiatives as a supporting member as and when required.
Skills and Knowledge:
- Minimum bachelor's degree majoring in Accountancy or equivalent professional qualification
- Certified Public Accountant / Chartered Accountant or equivalent
- 5-7 years of relevant working experience
- ERP knowledge and experiences required, SAP/S4 Hana exposure preferred
- Strong in Microsoft Office Application, particularly MS Excel
- Practical experience in using AI and digital tools to improve work efficiency, data analysis and finance processes.
- Analytical and Problem-Solving skills
- Can work independently with less supervision
- Communication and interpersonal Skills
- Demonstrate leadership ability
- Team player
- Ability to work with tight timelines
- Hands on and willing to deal with details
We appreciate your interest in tesa tape. Please submit your CV to [Confidential Information]. If we wish to arrange a personal interview, we will contact you by mail or phone.