Prepare and develop monthly management reporting and presentations with emphasis on detailed commentary on variances from budget/prior year, investigate unusual variances leading to understanding and resolution of issues.
Prepare monthly consolidation financial reports in a timely manner and ensure compliance with statutory requirements and financial reporting standards.
Responsible for annual budget and quarterly forecast for the business and ensure submission in a timely manner.
Review reconciliation of the balance sheet items i.e., bank, cash, credit card, creditor and etc on monthly basis.
Manage day‑to‑day finance operations and cost accounting function including communication of issues and opportunities to management.
Responsible in taxation matters including liaise with tax authority and tax consultant.
Liaise with both internal and external parties such as bankers, auditors and company secretary on all trea...
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