Job Type: Full Time
Under the guidance of Vice President (Group Accounting):
To ensure the timely provision of accurate financial data of the PSA Group for management and statutory reporting.
To ensure the timely reporting of financial books of investment holding companies for management and statutory reporting.
To provide financial guidelines and policies for the Company and the Group so as to safeguard their assets.
To conduct feasibility studies and submit recommendations on new projects so as to support management decision processes.
Accountabilities
To handle financial consolidation for management and statutory reporting purposes as well as preparation of annual audited accounts
To review monthly / quarterly accounts of related business units before submission to Management and follow-up on issues arising, and to ensure compliance of Group Financial Policies by the business units
To develop and deliver proactively Finance strategies and recommending action plan that contributes to the achievement of the corporate strategy and operational objectives of the company.
Communicate financial results to investors, compiling annual reports and other major financial disclosures to the relevant parties.
Develop financial forecasts and highlight key targets driving the forecasts.
To oversee the book-keeping of investment holding companies and to ensure timely monthly closing and reporting
To liaise with Group’s Auditors and Company Secretary on all accounting, tax and secretarial matters.
Align policies on financial controls to ensure effective corporate governance in line with directions set in the PSA Group financial policies and procedures.
Pre-Requisites
Good Degree in Accountancy / Finance
Qualified CPA / ACA
Minimum 6 years of experience
Candidates with audit consolidation experience a must
Excellent communication skills as well as strong leadership and analytical capabilities
Strong in financial analysis and decision support skills.
Good organizational and interpersonal skills
Able to multi-task, meet deadlines as well as under pressure
Computer literacy and knowledge of spreadsheet applications.
Experienced in annual financial and budgeting exercise.
Energetic, ability to work both independently and collaboratively.
Able to work closely with teams to achieve desired results.
Willing to travel when necessary
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