KEY RESPONSIBILITIES
Involve in the preparation of month-end, year-end financial reports & cash flow statement
Review monthly finance variance analysis for management reporting purpose
Accountable for the compliance with statutory, tax and regulatory requirements of the entities and keep abreast with latest accounting standards, treatment, best practices and industry standards
Responsible for cash flow management, treasury function & banking matters
Participation and preparation of annual & forecast budgetary exercise
Liaison with external consultants on internal/external audit, taxation, banking, company secretary, legal, internal control and compliance issues
Identify, investigate and analyse potential operational improvement.
Ensure financial processes & procedures, internal control systems and financial operation compliance with company & group policies
Preparation of Transfer pricing documentation
Troubleshoot problem arises in operation software
Perform all other duties as assigned and required
REQUIREMENTS:
Degree in Accountancy, ACCA or its equivalent, preferably with 3 years audit experience
Meticulous, analytical, independent and self-motivated
Proficient in Microsoft Excel