Job Summary
Performs a variety of financial activities, including accounting, financial analysis, audit, tax, credit and collections | Develops and evaluates financial plans and policies | Establishes and maintains accounting, financial, and reporting policies and controls
Job Responsibility
- Daily treasury/CRM operations.
- Bank account management.
- Periodically monitor review and compliance region & country subsidiaries treasury/accounting activities.
- Responsible for consolidate, analyze, forecast group cash flow situation.
- Communication with region & country subsidiaries treasury/accounting activities.
- Periodically perform financial analysis on a regular basis.
- Involved in IPO process and related documents preparation
- Involved ERP system implementation
- Ad-hoc project
Requirements
- Work Experience: at least 3 years in finance/accounting working experience.
- Education Levels/majors: Bachelor's degree; major in finance/accounting
- Required tech/professional skills:
- strong attention to detail and an investigative nature
- the ability to work as part of a team
- Soft skills/ personality:
- Honesty and integrity
- Ability to work under high pressure
- Can-do attitude
- Strong believer in working and supporting a team
- Language: Fluent in English
Others: Hands-on knowledge in ERP preferred and well versed in Microsoft Office.
Competencies
Continuous Improvement
Customer Focused
Problem Solving
Planning and Organising
Education
Certifications