Provide support in financial planning, budget and reporting of RHBIB Group and Group Corporate and Investment Banking Business (\xe2\x80\x9cCIB\xe2\x80\x9d)
Provide support in capital planning and management of RHBIB Group.
Key Responsibilities:
Provide periodic financial information (P&L/Balance Sheet) and analysis to the business units and other relevant parties pertaining to the business to enable performance management and regulatory reporting
Work with the business to:
Prepare balance sheet schedules and substantiate the Balance Sheet items relating to the business
prepare business financial forecasts and budgets as necessary
develop business case for new initiatives
to pass the necessary journal entries to account for transactions for month end closing
develop accounting process/entries for new business process and products
Advice the business relating to\xe2\x80\x9d
finance process in relation to budget top up, CAPEX/OPEX approving authority, payment, invoicing etc
accounting standards/policy requirements to ensure compliance
Direct and indirect tax related matters i.e. SST/WHT etc.
Oversee all financial reporting requirement for selected RHBIB Group subsidiaries
Any other ad-hoc request by the superiors
RequirementsRequirements: Bachelor Degree - .- Any professional accounting qualification
Pleasant personality with excellent verbal and written communication skills