Job Description
Financial Management & Reporting
- Carry out finance operations for Singapore holding company and oversee of licensed fund management subsidiary and capital markets subsidiary
- 负责控股和合并,兼顾审核子公司
- Supervise and completion of core finance operation functions, eg. consolidation reporting, general ledger, foreign exchange exposure, accounting schedules, bank reconciliation, intra- group recharge
- 带领财务指导团队完成财务日常运行职能
- Finalisation of monthly/ quarterly/ annual group reporting under internal and external supporting,
- 负责在内外部的配合下完成月度、季度、年度的集团报表要求,
- Finalisation of monthly/ quarterly/ annual budgets and analysis report
- 负责定期的预算和相应的分析报告
Compliance & Governance
- Supervise and completion of compliance reporting and queries from local and overseas authorities, eg. MAS, SGX and overseas Finance bureau
- 完成合规性报送
- Manage and completion of statutory and group audits in collaboration with auditors
- 完成审计
- Maintain strong relationships with tax authorities and ensure timely filing of GST, Corporate Tax and Withholding Tax with support of external professionals
- 在外部税务师支持下完成税务申报
- Carry out and supervise inter-company recharge billing as and when they arise, reconcile trades to invoices for revenue recognition
- 负责和指导内部关联方交易及协调
Leadership
- Provide expert advice and technical guidance on financial matters to finance department and senior management
- 为财务部和管理层提出财务专业意见
- Any other ad-hoc duties as assigned from management
Job Requirements
- Degree in Accountancy or equivalent professional qualification
- Minimum 6 years of relevant working experience (with minimum 2 years in managerial position), banking and related industry preferred
- Hands on experience on consolidation using MS Excel
- Knowledge in MYOB and Kingdee Accounting system would be an added advantage
- Team management experience.
- Must be able to speak, read and write in English and Mandarin as frequent communication required with our China counterparts.