Job Descriptions:Prepare full set of accounts including preparation of relevant accounting schedules for assigned country portfolio.
Analyze financial statements / data and report financial performance by comparing actual results, financial KPI and ratios with past data, forecasts and projections.
Liaise with external auditors and tax agents on all related matters.
Assist in corporate exercise assumed by the Group and corporate secretarial matters.
Assist in reporting or communication with local stakeholders including shareholders, partners, local tax and accounting firms.
Assist in budget and forecast preparation.
Ensure tax compliance is in order which includes direct and indirect tax submission.
Project investment return evaluations, project budget monitoring and analysis.
Perform analytical review of financial statements which includes profit and loss, balance sheet and trend analysis.
Handle treasury function which includes operational project cash flow management and maintain cash book and bank reconciliation, preparation of cash flow forecast and ensure debtor collection and payment process in a timely manner.
Facilitate and coordinate group payment cycle.
Risk management, establish or refine internal controls, process improvement.
Any other task assigned by finance manager.
Job Requirements:Possess at least a Bachelor's Degree in Finance/Accounting or equivalent, preferably with a professional Qualification (ACCA/CPA/ICAEW/MICPA/CIMA).
At least three years of working experience in a similar field. (Experience in audit and taxation would be an added advantage).
Required language(s): English, Chinese.
Confident and good team player with excellent communication and interpersonal skills.
Self-resilient and able to work in a fast-paced and aggressive environment.
Proficient in handling Microsoft Word, Excel, and PowerPoint.#J-18808-Ljbffr