Oversee full spectrum finance: accounting, financial reporting, budgeting, taxation, and compliance.
Prepare timely and accurate P&L, Balance Sheet, and Cash Flow reports.
Ensure monthly closing is done properly and timely and provides leadership guidance on Month End close process and support team on monthly financial reporting.
Maintain the general ledger and all related accounts including preparation of journal entries with proper documentation and records of all the company transactions, reviews, entries to the general ledger.
Maintain computerized accounting system, back up control, and assist other accounting staff with computer-generated reports and statements.
Review all details of balance sheet on a monthly basis.
Compliance and External Liaison
Liaise with internal and external auditors regarding compliance with group and regulatory policies and procedures.
Prepare yearly Corporate Tax estimates and submissions.
Responsible for the Company's relevant tax compliance i.e. withholding tax, Transfer Pricing, Tax Incentives, etc.
Manage financing and yearly account reviews with bankers.
Develop & maintain good professional relationships with internal and external stakeholders i.e. auditor, tax agent, company secretary, consultants, lawyers, bankers, insurance, suppliers, related business associates, and other government authorities and agencies.
Requirement
Degree in Accounting, Finance, or related field (CPA, ACCA preferred).
5–7 years of relevant experience with hands-on full set accounts.
Strong leadership and stakeholder management skills.
Advanced Excel and accounting software proficiency.
Knowledge in group-level or multi-entity finance is an added advantage.