Manage and maintain accurate financial records, including accounts payable, accounts receivable, and payroll
Prepare and review financial statements, including balance sheets, income statements, and cash flow statements
Develop and implement financial plans and budgets
Prepare consolidation for the group
Coordinate with external auditors for annual audits
Ensure timely and accurate financial reporting to management and investors
Business Partnering
Partner with business teams to understand financial implications of business decisions
Provide financial insights and analysis to drive business growth and profitability
Analyze financial data to identify trends and areas for improvement
Develop and maintain relationships with cross-functional teams, including sales, marketing, and operations
Tax and GST Reporting
Prepare and submit tax returns, including income tax, GST, and other statutory requirements
Ensure compliance with tax laws and regulation
Compliance and Control
Ensure compliance with accounting standards, tax laws, and regulatory requirements
Develop and implement financial controls and processes
Strategic Planning
Assist in developing and implementing strategic plans and initiatives
Provide financial analysis and support for business cases and proposals
Others
To assist in any other ad-hoc tasks which might include assisting in the finance of the financial services business.
Ensure timely, accurate month-end closing and financial reporting to Management
Responsible for preparation and closing of monthly and annual financial statements
Responsible for accounting processes and tasks (i.e.: AP & AR process, GL, account reconciliation, etc.)
Support forecasting and budgeting exercise
Coordinate and liaise with external parties like external auditors, tax agents, corporate secretarial agents, local tax and government authorities where required
Support and ensure compliance with all finance filing requirements, tax filing requirement (GST/WHT/CIT/…), audits, procedures and forms both statutory and internal
Assist in new processes and system implementation when required
Assist in consolidation of the group accounts.
Requirements
Accounting and/or auditing trained (min 5 years of experience)
Good knowledge of Accounting Reporting Standards and Taxation
Good knowledge of Microsoft Excel knowledge (pivot table, v-look up etc)
Knowledge of Power BI/Tableau is an advantage
Accounting degree or relevant certification
Preparation and closing of monthly and annual financial statements MUST HAVE
Able to do consolidation of the group accounts. MUST HAVE
Prior experience in accounting in a financial services industry
Can-do attitude, driven, passionate about work and open to new innovation and ideas