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Job Description
- In charge of all accounting and financial affair, implement group financial policy and enhance internal financial control locally.
- Ensure accuracy and completeness of local financial accounting, guarantee the company operation is in line with external legal and tax compliance requirement.
- In charge of monthly financial reporting according to group consolidation requirement.
- Assist in regular business planning and review process, including budget-making, preparation of monthly/quarterly management reporting by BU with financial highlights and key trends which adhere to the operation KPI & budgetary plans.
- Act as a business partner, responsible for operating business analysis, involve in decision making and provide professional financial opinion and solution to support rapid growth of business need.
- Maintain good relationship with bank, tax authorities, external auditor and etc.
- Recruit, train and develop local financial team to achieve a good performance level.
Job Requirements
- Experience in overall financial and accounting operation, track record of dealing with tax affairs for a corporate company independently
- Tax Audit Background is a must.
- Excellent in English
- Proficient in Windows software (e.g. Microsoft Excel, Word and PowerPoint),
- SAP experience is preferred
- Min Experience 6-8 years relevant experience in financial & management accounting
- Trustworthy, highly motivated and autonomous
- Strong communication and interpersonal skills, human sense, willing to work under pressure / tight deadlines