JOB DETAILS
- Monitor the day-to-day financial operations within the company as well as internal control management.
- Prepare monthly and quarterly management reporting and handle financial planning, capital and cash flow operations
- Participate in strategic data analysis, research, and modeling for senior company leadership
- Support project analysis, validation of plans, and ad -hoc request
- Manage the company’s financial accounting, monitoring and reporting system
- Ensure compliance with accounting policies and regulatory requirements
- Analyzing and evaluating operation cost of the company
- Prepare and review budget and proposals, oversee accounting and financial report and analysis as well as tax matters complied with related regulations, corporate and subsidiary’s policy and other risks.
- Participate in the ongoing development/establishment of accounting policies and procedures and operational strategy including review and implement of process and system changes.
- Provide consultation and supervise the working team.
- Support project analysis,validation of plans
QUALIFICATIONS
- Bachelor’s degree in Accounting or Finance or relevant field or Accounting
- Must hold CPD license, CPA a plus
- Good command of spoken and written in English
- Experience in accounting software (Quick Book pro, SAP Business One)
- Experience in ERP will be an advantage
- 5-8 years of experience in accounting and / financial analysis .special in Asset Management Company or Commercial Bank
- Knowledge of financial reporting and analysis report tools as Power BI, SAP Crystal Report etc.