Responsible for financial planning, budgeting and forecast which requires evaluating and recommending modification generated from analysis on Annual budget and financial projections, Modeling for pricing review and Reforecast exercise
Responsible for providing comprehensive review and commentary to decision makers including, but not limited to: analysis of revenue performance and growth, profit and losses, variances, revenue reports and key performance indicators; reports and commentary for Audit Committee and/or Board; data or reports required by C-Suites, including review of business cases
Responsible for financial planning and analysis software (BoardX)
Assist manager to run migration project for BoardX
Assist manager on valuation related matter e.g. goodwill impairment, hedging, LTI
Assist manager with bank-related procedures and processes as well as refinancing and debt management
Assist manager with Solvency Statement & Distribution
Monthly cash flow analysis and optimization of cash.
Collaborates closely with finance team and various cost centre owners
Assist in any ad-hoc duties and projects as assigned
Requirements
\xef\xbb\xbfDegree in Accountancy or equivalent professional qualification
Minimum 3-5 years working experience in a similar position in commercial firms and with audit experience is an added advantage
Organized, meticulous with good attention to details
Strong computer literacy, proficient in MS Excel, experience in SAP B1 is an added advantages
Fast learner, process a well-groomed personality and capable of multitasking
\xef\xbb\xbfJob Reference: L66VX49R
All Successful candidates can expect a very competitive remuneration package and a comprehensive range of benefits.
Kindly email your resume in a detailed Word format to
We regret that only shortlisted candidates will be notified