Job Scope
Reporting to the Head of Finance and as an individual contributor, you will be responsible for full set of accounting (including preparation of journal entries, invoices, making payments etc), consolidation for management reporting, corporate governance, internal control, audit, transfer pricing and tax matters.
You will provide necessary support on AML/KYC, CRS, FATCA as required by banks, audit and/or corporate secretarial matters.
You will support the Head of Finance in annual budgeting and forecasting processes, and work closely with GMs of different business units regarding planning, incentives and cost management.
You will ensure compliance with local SFRS and IFRS, coordinate with internal stakeholders on documentation completeness and liaise with external stakeholders on insurance, audit, tax and/or corporate secretarial matters.
You will also support in managing foreign currency transactions to facilitate payments, collaborate closely with banks on banking facilities and serve as a backup bank signatory.
You will also develop financial controls and policies to mitigate risks, set up a master SOP manual from scratch to ensure proper internal documentation and corporate governance as well as maintain an updated master listing of corporate and banking related information.