Finance Executive
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Financial Group Reporting & Analysis: Prepare monthly, quarterly, and annual financial group reports, and conduct analysis on revenue, expenses, and other key metrics to provide insights for management.
Budgeting & Forecasting: Assist in preparing budgets and forecasts by analyzing financial data and identifying trends to inform decision-making.
Accounts & Cash Flow Management: Oversee accounts receivable and payable, ensure timely processing, and manage cash flow in coordination with the outsourced accounting team.
Outsourced Firm Coordination: Serve as the primary liaison with our outsourced accounting firm to manage:
- - Company Secretarial (Co-Sec) Matters: Ensure compliance with regulatory obligations. - Weekly Accounting Reviews: Align account accuracy with company policies. - Tax Compliance: Handle tax planning, filings, and compliance. - Audit Support: Facilitate audit processes.
Compliance & Reconciliations: Ensure adherence to financial regulations and perform regular bank reconciliations.
Process Improvement: Identify and implement process enhancements for financial efficiency.
Cross-functional Collaboration: Partner with other departments on finance-related projects and initiatives.