Job Description
Financial Management & Reporting
- Carry out finance operations for Singapore holding company and oversee of licensed fund management subsidiary and capital markets subsidiary
负责控股和合并,兼顾审核子公司
Supervise and completion of core finance operation functions, eg. consolidation reporting, general ledger, foreign exchange exposure, accounting schedules, bank reconciliation, intra- group recharge带领财务指导团队完成财务日常运行职能
Finalisation of monthly / quarterly / annual group reporting under internal and external supporting,负责在内外部的配合下完成月度、季度、年度的集团报表要求,
Finalisation of monthly / quarterly / annual budgets and analysis report负责定期的预算和相应的分析报告
Compliance & Governance
Supervise and completion of compliance reporting and queries from local and overseas authorities, eg. MAS, SGX and overseas Finance bureau完成合规性报送
Manage and completion of statutory and group audits in collaboration with auditors完成审计
Maintain strong relationships with tax authorities and ensure timely filing of GST, Corporate Tax and Withholding Tax with support of external professionals在外部税务师支持下完成税务申报
Carry out and supervise inter-company recharge billing as and when they arise, reconcile trades to invoices for revenue recognition负责和指导内部关联方交易及协调
Leadership
Provide expert advice and technical guidance on financial matters to finance department and senior management为财务部和管理层提出财务专业意见
Any other ad-hoc duties as assigned from managementJob Requirements
Degree in Accountancy or equivalent professional qualification
Minimum 6 years of relevant working experience (with minimum 2 years in managerial position), banking and related industry preferred
Hands on experience on consolidation using MS Excel
Knowledge in MYOB and Kingdee Accounting system would be an added advantage
Team management experience.
Must be able to speak, read and write in English and Mandarin as frequent communication required with our China counterparts.