Our client is an IT software house. Responsibilities:
Assist the CFO in developing and implementing financial strategies to achieve company goals.
Manage day-to-day accounting operations, including accounts payable, accounts receivable, general ledger, cashflow and consolidation of accounts.
Prepare financial and management reports, budgets, forecasts, and variance analyses for senior management and external stakeholders.
Ensure compliance with regulatory requirements as a member of publicly listed Company, including tax filings, statutory reporting, transfer pricing, corporate governance-related and auditing standards.
Management of treasury functions, such as monitoring and cash flow planning, liquidity, and financial risks, and developing strategies to mitigate forex hedging risks and optimize cash management.
Provide financial analysis and insights to support decision-making processes, including investment decisions, pricing strategies, and cost management initiatives.
Collaborate with other departments to develop and implement financial controls and processes to improve efficiency and effectiveness, including but not limited to the usage of ERP systems.
Responsible for establishing SOPs for the department.
Manage relationships with external and internal auditors, tax advisors, bankers, regulatory authorities and any other corporate consultants as applicable.
Lead and develop a team of finance professionals, providing coaching, guidance, and performance feedback.
Stay updated on industry trends, regulatory changes, and best practices in finance and accounting.
Any other duties as may be assigned by the management.
Requirements:
CPA or equivalent with a strong background in financial management, accounting operations, and compliance within a publicly listed company.
Proven experience in financial reporting, budgeting, forecasting, treasury management, and familiarity with ERP systems and internal controls.
Demonstrated ability to lead and develop finance teams, manage cross-functional collaborations, and maintain relationships with auditors, tax advisors, and regulatory bodies.
Strong financial analysis capabilities to support strategic decision-making, investment evaluations, cost management, and risk mitigation (e.g., forex hedging).