Business partnering with operation to provide support on a timely basis
Ensuring financial results are in accordance with local statutory requirements and accounting principles
Accountable for monthly closing activities and review closing financial statements
Work closely with stakeholders to complete the monthly consolidated accounts, reporting packages for the group
Ensuring completeness and accuracy of documentation required for audits
Being the key point of contact for external parties such as external auditors, tax agents, corporate secretarial agents
Assist the operation to prepare monthly business and budget review.
Perform accounts payable, such as prepare weekly payment, ensuring all invoices are approved, reviewed, and bank transactions are input to bank correctly
Perform taxation to control, planning, reporting, and fulfillment of tax obligations in accordance with applicable regulations
Perform risk management by analyzing the organization's liabilities and investments
Decide on investment strategies by considering cash and liquidity risks
Prepare the investor relations report and maintain a good relationship with local and multinational investors
Control and evaluate the organization's fundraising plans and capital structure
Provide strategic initiative and collaborate with the C-Level and Oversees the company's financial strategy
Establish and develop relations with senior management
Bachelor's degree in Accounting, Finance, or a related field
Minimal 5+ years of experience in a similar role, with experience working for a group company with multiple functional currencies
Experience working in a either start-ups/consulting & audit/ global companies with excellent written and verbal communication skills in English at the business level
Excellent analytical and organizational skills, with exceptional attention to detail
Strong verbal and written communication skills as well as interpersonal skills with the ability to build relationships with different stakeholders
High level of energy and initiative
Experience with building financial models
Good understanding of the capital structure and corporate finance
Fundraising experience
Excellent analytical skills as well as strong business acumen
Result oriented and organized, can prioritize effectively and multi-task to deliver results in a fast-paced work environment