Accountant (Hybrid)(Market Intelligence Firm)

Details of the offer

about the company
Randstad is partnering up with a leading global provider of market intelligence, advisory services, and events for the IT Telco and consumer tech markets.
They are looking for an accountant to join their expanding team.about the job
Responsible for maintaining comprehensive accounting records for SSG entities while contributing to the Asia Shared Services Team based in Malaysia.
The role offers extensive growth opportunities within the Shared Services Center, including exposure to broader business segments and key operational areas such as Accounts Receivable, Accounts Payable, and Revenue/Billing.Key Responsibilities:
Financial Reporting and Accounting:
Manage the preparation, consolidation, and presentation of financial statements in adherence to local accounting standards.
Ensure timely and accurate reporting for monthly, quarterly, and annual financial cycles across APJ entities.Regulatory Compliance:
Stay informed about local financial regulations, tax legislation, and reporting obligations.
Develop and maintain robust internal controls to mitigate financial risks and uphold data integrity.Cash Flow Oversight:
Monitor cash flow and working capital requirements, providing strategies to optimize liquidity and operational funding.
Address payables and receivables to ensure sufficient cash reserves for business continuity.Stakeholder Engagement:
Cultivate relationships with external partners, including accounting service providers, auditors, tax authorities, banks, and regulators.
Provide necessary financial data and support during external engagements.Cross-Departmental Collaboration:
Partner with teams across Operations, HR, Legal, and Tax to support business initiatives, deliver financial insights, and enhance profitability.Tax Strategy and Compliance:
Work with the tax team to optimize strategies while ensuring compliance with tax regulations.
Contribute to planning efforts related to transfer pricing, tax credits, incentives, and deductions.Treasury Management:
Oversee the organization's liquidity, cash management, and risk mitigation strategies.
Manage foreign exchange exposure and hedging while optimizing financing activities.Qualifications:
Bachelor's degree in Accounting or a related field.
At least 3 years of experience with a Big 15 audit firm.
Preferred experience in commercial accounting with full set bookkeeping.
Exposure to MNCs and Shared Services environments is advantageous.
If you are keen to explore, do apply to the link above or reach out to Dex at 016-2541577.#J-18808-Ljbffr


Nominal Salary: To be agreed

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