Job Description

• Create policies and procedures for accounting operations in subsidiary corporations and its documentation
• Oversee the accounting operations of subsidiary corporations, especially their control systems, transaction-processing operations, and policies and procedures
• Prepare analytical reports based on P&L, Cash Flow, Budget report, Sales Reports & Customer balance & credit reports
• Analyze budgets and financial trends
• Control recording and reporting of all financial transactions
• Control all accounts and transactions in a timely manner
• Prepare required reports in a timely manner
• Cash flow management and control monthly cash out plans
• Developing financial models and providing financial forecasts, reports & control
• Coordinate the preparation of the corporate annual report
• Manage the production of the annual budget and forecasts
• Coordinate the provision of information to external auditors for the annual audit
• Developing plans for financial growth
• Evaluating and managing risk

Requirements

• Bachelor/Master’s degree in Finance, Accounting or equivalent work experience • +5 years of experience in a similar position in a medium- or large-size company with relevant industrial sector experience and experience of managing teams • Familiar with Financial Institutions Group, Policies and Procedures and the relevant Rules & Regulations of the Securities and Exchange Organization • Good MS Office skills particularly strong capabilities in MS Excel • Professional qualification such as ACCA/CPA or similar will be considered a plus • Strong communication and interpersonal skills • A supportive and open line-manager and colleague • Ability to multi-task, work under pressure and meet deadlines required • Fluent in English

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