Key Responsibilities
- To oversee all the financial spectrum of the company including working capital management & financial reporting.
- Responsible for accuracy and timely submission of all reports.
- Oversee the operations and function of the treasury section to mitigate the volatility of currency exchange rate risk and optimise interest income earned from available funds.
- To supervise and participate in the preparation of various financial statements and reports.
- Responsible for cash management, financial analysis, budget and forecast.
- Ensure compliance with local statutory and tax authorities, accounting standards and relevant laws and acts governing the industry.
- To interpret the company's financial results to management and recommend for improvement activities.
- Continuously propose and support the team in process work flow improvement initiatives.
- Assist management in the formulation of its overall strategic direction.
- To develop and manage financial system/ models.
- To carry out business modeling and risks assessment.
- To develop cost reduction strategies and savings plans.
- To oversee the operations and daily activities of the finance section.
- To Carry out additional analyses and reports as requested by the Management.
- Carry out any duties as assigned by the Management from time to time.
- Comply with SST procedures and requirements
Skills & Experiences
- Minimum Degree in Accounting/ IPA/ ACCA / CIMA
- At least 5 years of experiences in management level and preferably in manufacturing line
- Skilled in Book keeping, LCCI, ERP System, Computerized Accounting, MS Office, Management, Accounting
- Fluent in Mandarin