Key Responsibilities
Financial Analysis & Reporting
Compile, analyze, and interpret financial data to generate insights that support business strategy and decision-making.
Prepare and consolidate comprehensive group management reports in a timely manner.
Audit Coordination
Lead and manage the annual audit process, ensuring prompt and accurate responses to audit inquiries.
Review and validate audit reports to maintain compliance and financial integrity.
Tax Compliance & Planning
Assist in tax planning strategies to enhance compliance and mitigate risks.
Oversee and review annual tax computations to ensure adherence to regulatory requirements.
Full Set Accounts & Financial Reporting
Manage and maintain full sets of accounts, ensuring accuracy and compliance with relevant accounting standards.
Develop customized financial reports and dashboards to improve reporting efficiency.
Process Improvement & Ad-Hoc Projects
Drive accounting system enhancements and lead process transformation initiatives.
Take ownership of additional accounting tasks and ad-hoc assignments as needed.
Working Schedule
Required to work alternate Saturdays to support business operations.
Qualifications
Bachelor's degree in Accounting, Finance, or a related field, or professional certification (e.g., ACCA).
3-5 years of experience in auditing, financial reporting, and financial analysis.
Proficiency in AutoCount is a significant advantage.
Strong skills in MS Excel and PowerPoint for financial modeling and reporting.
Solid understanding of audit processes, accounting standards, and financial systems.