Number of Applicants
:000+
• Monthly closing - properly close the accounts within the required period, check the Group Financial Reporting Package
• To review daily reconciliation for bank accounts, advance deposits and customer deposits. Work closely with accounting staffs and resolving the reconciliation differences
• Perform general accounting duties for group subsidiaries
• To handle & liaise with auditor for annual statutory audit
• To compute corporate tax/ liaise with tax agent on tax filling
• Well versed in WHT/VAT and tax processes
• To prepare quarterly forecasting and annual budgeting
• Process invoices and payments in a timely manner
• To provide a leadership role in all aspects of the company’s financial operations and to manage Treasury functions
• Ensure adequate controls are in place, i.e. policies, procedures
• Handling process improvement
• Handling day-to-day finance relating issues, provide the guidance and review to the subordinates. Work with the other departments to support the daily operations
• Other ad-hoc matters especially requirements from headquarter finance team 【 Requirements 】 Must
- Minimum 10 years’ experience accounting and finance in business company
- Have experience with management accounting staffs
- CPA holder
- Have experience in Japanese company
- Have experience in Accounting firm Better
- Have experience as a CFO
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