Responsibilities:
- Financial & management reporting, audits, budgeting, and forecasting, cashflow analysis and tax.
- Managing the complete accounting cycle, ensuring accuracy in accounts payable, accounts receivable, and general ledger entries in line with the company's credit policies and procedures.
- Preparing and reviewing financial statements, balance sheets, income statements, and other critical financial reports.
- Able to handle overseas subsidiary companies accounts.
- Work cross-functionally with Sales, Marketing, Operations, Investments teams to resolve any matters.
- Assist in establishing and maintaining appropriate internal controls to ensure 100% compliance.
- Participate in various finance projects and initiatives to drive process improvements and automation.
- Other ad-hoc duties as required and/or assigned.
Requirements:
- Accounting qualification (Diploma of equivalent)
- 3-5 years of accounting experience
- Good knowledge of financial/accounting principles and regulatory requirements.
- An excellent communicator.
- Possess effective problem-solving skills
- Highly organised and independent