Finance Executive (Reporting, Group Consol)
- Consolidation Management Report & Cash Flow Statement : Ensure timely and accurately produced monthly / yearly consolidation group management report, cash flow statement and notes to accounts for Manager approval and fulfil statutory requirements. Assist in preparation of group forecasts and budget. Manage intercompany transactions and balances.
- Compliance with Statutory Requirements : Liaise with internal and external auditors and tax agent on statutory requirements by providing the audit schedules / analysis required. Manage external audit process to ensure timely resolution of audit issues and completion of audit. Prepare annual tax computation and tax planning.
- Keep abreast of changes in the financial reporting standards and establish internal processes and procedures in incorporating the changes in the internal and external reporting system.
- Assist in preparation of ad-hoc management reports and analysis.
- Participate in ongoing process improvements and system enhancement to best manage business reporting.
- Ensure proper filing of documents for maintenance, retrieval and archiving.
- Any other tasks assigned by superior or Management from time to time and / or job rotation on portfolio.
Note : Qualifications are not specified in the provided description.
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