Responsible for preparing of Group Consolidation of Accounts and monthly management reporting
Responsible for yearly budget, monthly cash flow forecast and monitor funding requirement.
Liaise with external audit, filing of ECI and tax return
Liaise with company secretary on incorporating new companies, striking off, filling of AR, resolutions and minutes
Direct contact with the financial teams of the subsidiaries for accounting, tax, trademark and other finance matters
Review external audit reports and consolidation packages of the subsidiaries
Review and analysis of monthly financial reports of the subsidiaries
Handle trade mark registration, renewal and review of disputes
Review bank loan agreement to compliance with the financial covenants
Requirements:
Degree in Accountancy
CA/CPA qualified will be an advantage
Minimum 3 years of related experiences, audit experience will be an advantage
Must know FRS and a good understanding of China GAAP
Experience in group consolidation of accounts
\xef\xbb\xbfInterested candidates who wish to apply for the advertised position, please click o\xef\xbb\xbfn the APPLY button below to send in your resume
EA License No.: 13C6305 Registration No.: R1985956
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