Responsibilities
- Oversee and manage all aspects of financial and accounting functions
- Responsible for management of cash flow and treasury function
- Maintain company ledgers and daily financial transactions, ensuring timely reconciliation on a monthly basis
- Prepare and file annual tax and quarterly GST filings, regulatory financial reporting and other ad hoc reports as needed
- Draft financial statements for annual audit and perform necessary reconciliations and projections
- Financial planning and analysis and identifying trends in financial performance and making recommendations to Management
- Implement, assess, and enhance internal control measures
- Constant review of all processes for improvements, remediate as appropriate as required in audit or testing observations
- Ensure all findings from internal & external audits are being followed up including the implementation of recommendations
- Assist in overseeing all corporate secretarial matters
Requirements
- Bachelor's degree in Accounting or equivalent
- CPA/CA qualified
- A minimum of 10 years working experience with supervisory responsibilities
- Strong understanding of financial reporting standards, tax regulations, and financial management principles
- Attention to details and excellent time management skills
- Excellent analytical, problem-solving, and organisational skills
- Strong communication and interpersonal skills; able to effectively liaise with internal and external stakeholders
We regret to inform that only shortlisted candidates will be notified.