Oversee financial reporting to ensure the accurate and timely preparation of financial statements, reports, and disclosures in alignment with headquarters requirements.
Manage all aspects of cash management, including cash forecasting, liquidity management, and optimizing capital to maintain healthy cash flow.
Prepare budgets, forecasts, and manage statutory and internal audits, tax reporting, and compliance.
Provide leadership and foster a collaborative, team-based culture across international locations.
Qualifications, Skills, and Experience
University degree, preferably with a strong understanding of international business requirements.
Solid knowledge of financial accounting standards and familiarity with regulatory requirements in multiple markets.
Excellent verbal and written communication skills, with proficiency in English and Japanese to facilitate effective collaboration with headquarters.
Strong understanding of accounting, tax, and legal requirements relevant to Japan and Singapore.
Willingness to travel regularly between Japan and Singapore.