Duties and responsibilities
Coordinate within the company and Group and prepare Budgets
Ensure generation of reliable financial statements of the company, including the Balance Sheet, Income Statement and Cash Flow Statement, among others
Overall Manage on Company's internal cash flow with daily Income and Expenditure.
Review each individual company’s accounting books and records to ensure they have been accurately prepared in compliance to accounting standards and group company policy
Monitor and analyze Financial Performance through monthly financial review to understand the key drivers and able to identify opportunities and risks Consolidate and compare cross-company financial report to identify improvement opportunities and best
Leads the coordination, drive transparency and consistency of planning and budgeting processes (Annual budget, latest estimates, actual vs budget commentaries)
Provide business insights according to agreed timings and formats – in the form of management reporting internal, regional, head quarter, and shareholders - as well as ad hoc analysis.
Provides reliable & actionable information and/or solutions and drives decision taking (i.e. Price increase, new product launch)
Perform other tasks as required by MD and CEO
Skill or Competencies Requirement
In-depth knowledge of corporate finance and accounting principles, laws and best practices
Solid knowledge of financial analysis and forecasting
Proficient in the use of MS Office and financial management software
An analytical mind with a strategic ability
Solid Knowledge of general accounting principles.
Fluent in spoken and written English
Excellent organizational and leadership skills
Outstanding communication and interpersonal abilities
Experience and Educational Requirement
Bachelor in Commerce/ Business Management/ Economics; MSc/MA is a plus
Diploma in accounting, finance or relevant field
ACCA/ CPA or other relevant qualification is a plus
Minimum (10) years experiences in managerial level i